Tamu2.0Testing Oct 2025. Indicator tries to identify short periods of volatility and market manipulation. Pine Script® indicatorby TigguUpdated 27
Optimum EMAs x3Function Review Optimum EMAs x3 scores EMA-price reactions via bullish/bearish percentages. Plots test (purple), bull/bear fast/medium/slow EMAs with toggles/individual colors, three adjustable gradient fills, and reaction table for multi-band analysis. Usage Write-Up Set fast (5-15), medium (10-20), slow (15-30) ranges per strategy. Test values via Test EMA for peak scores. Input optima to bull/bear fast/medium/slow for reactive three-band envelope (bullish supports, bearish resistances), refining signals in varied trends.Pine Script® indicatorby scottdog_14
Optimum EMAs x2Function Review Optimum EMAs assesses EMA-price interactions by scoring reaction percentages for bullish/bearish touches. Creates EMA bands (top: most reactive bearish EMA as resistance; bottom: most reactive bullish EMA as support) with customizable test/bull/bear fast/slow EMAs, toggles, adjustable colors/gradients, and reaction table. Usage Write-Up Define fast (e.g., 5-15) and slow (e.g., 15-30) EMA ranges based on strategy. Scan with Test EMA for high reaction scores. Set optima in Bull/Bear Fast/Slow inputs to form reactive EMA bands (bullish top support, bearish bottom resistance), enhancing trend signals in bull/bear markets.Pine Script® indicatorby scottdog_10
OOO Trade (By Bodinphat)Script Description (for TradingView Publish Page) Description: This indicator is an advanced trend-following system that combines multi-timeframe signals, order block zones (OB Zones), and precision-based metrics to help traders identify high-probability buy and sell opportunities. It automatically analyzes EMA trends, RSI pullbacks, ADX strength, and volume confirmation to calculate a dynamic confidence score for both long and short directions. The system also displays: 📊 Multi-Timeframe Trend Strip (M1 → D1) — showing each timeframe’s directional bias (Buy/Sell/Neutral). 🎯 OB Zones (Order Blocks) — highlights institutional demand (Bullish OB) and supply (Bearish OB) zones on the chart. 📋 Right-Side Info Panel — displays key metrics such as score, accuracy, SL/TP targets, and bias direction in real-time. ⚡ Session Filters — optional London/NY session filters for more accurate signal alignment. This tool is ideal for traders who want to follow structured price action while maintaining a clear view of market strength and institutional zones. It works best with XAUUSD, GBPUSD, and major indices on intraday or swing timeframes. Disclaimer: This indicator is for educational and informational purposes only. It does not constitute financial advice. Please test thoroughly before using in live trading.Pine Script® indicatorby plproductionkk1
Open Interest FlowクリプトのOIを表示し、OIが上昇傾向なのか下落傾向なのか把握できる(アラート搭載) Displays cryptocurrency OI and lets you know whether the OI is trending upward or downward (alerts included)Pine Script® indicatorby RyuBTCFX2
Smart Dip & Spike Finder v6Dip and Spike Finder What This Adds ✅ Finds dips (for buying) ✅ Finds spikes (for selling) ✅ Works with your existing RSI & MA filters ✅ Shows BUY and SELL labels on the chart ✅ Triggers separate alerts for dip and spike conditionsPine Script® indicatorby Justas12344
Swing Data - SimplifiedThe swing data indicator by jfsrev but simplified. Thank you jfsrev for your work! Pine Script® indicatorby cimmarron18
Real-Time Risk Calculator (v6) - FixedRisk calculator based on account size and a low of day stop lossPine Script® indicatorby gschultzz915
ICT + SMT Liquidity & FVG Template mnqict concepts with smt divergence for mnq. marking out liquidity sweeps, sessions, highs and lows.Pine Script® indicatorby adamali1912
GLOBAL LIQUIDITY PROXY, G5 Total Liquidity (CBBS + M2) - USDG5 Total Liquidity (CBBS + M2) - USD G5 (US, CN, EU, JP, GB) Somma Balance Sheet Central Banks e M2 convertiti in USD Pine Script® indicatorby tarabolixUpdated 29
AlphaRadar - Fundamentals📊 MG ALPHA - FUNDAMENTALS PANEL ⚠️ IMPORTANT 🔴 This indicator MUST be used ONLY on DAILY (1D) timeframe. It will not work correctly on other timeframes. Overview: Comprehensive fundamental analysis panel displaying key metrics, earnings history, and profitability trends in a single view. Features: - Key Ratios: P/E, ROE, Debt/Equity, Net Margin (TTM), Dividend Yield, Payout Ratio, EPS (TTM), Beta 1Y - Technicals: RSI (14), ATR% (14) - Performance: 5D, 1M, 6M, YTD returns - Earnings & Revenue: 8 quarters of EPS/REV with YoY growth and analyst surprises - Net Margin Trend: 8 quarters showing profitability evolution (QoQ changes) Color Signals: 🟢 Green: ROE >20%, Debt <0.5, Positive surprises, Rising margins 🔴 Red: ROE <10%, Debt >2, Negative surprises, Declining margins 🟡 Yellow: Payout Ratio 80-100% (caution) Best For: Fundamental analysis, earnings monitoring, long-term investing, company comparisons. Notes: - Data from TradingView financial database - Auto-updates with new earnings releases - Works best with US stocks (NYSE, NASDAQ) - Free to use 🔔 Remember: Use DAILY (1D) charts only!Pine Script® indicatorby MG-Alpha14
ZZ TRADERS📌 ZZ Traders ALGO – Smart Trading Companion for Every Timeframe Introducing "ZZ Traders ALGO" – a precision-built, multi-timeframe algorithm designed for GOLD traders who value accuracy, efficiency, and real-time insights. 🔹 Universal Timeframe Compatibility: Works seamlessly across all timeframes – from scalping the 1-minute chart to analyzing long-term trends on the daily and weekly levels. 🔹 Optimized for XAU/USD (Gold): Specially tuned to capture the unique volatility and price behavior of gold. Get smarter entries and exits with confidence. 🔹 Algorithmic Insights: Built on advanced price action and custom logic to detect potential reversals, trend strength, and key market zones. 🔹 Simple Yet Powerful: Clean visuals, minimal noise – just the signals that matter. Designed for both beginner and experienced traders. 🔹 Ideal for Scalping, Intraday & Swing Trading: Whether you're in and out quickly or holding positions, ZZ Traders ALGO adapts to your style. 📈 Developed by Professional Traders, for Traders – because precision matters. 📩 For inquiries or access, contact me on WhatsApp: +92 300 8339822Pine Script® indicatorby zztraderszaryab16
ZZ Traders ALGO📌 ZZ Traders ALGO – Smart Trading Companion for Every Timeframe Introducing "ZZ Traders ALGO" – a precision-built, multi-timeframe algorithm designed for GOLD traders who value accuracy, efficiency, and real-time insights. 🔹 Universal Timeframe Compatibility: Works seamlessly across all timeframes – from scalping the 1-minute chart to analyzing long-term trends on the daily and weekly levels. 🔹 Optimized for XAU/USD (Gold): Specially tuned to capture the unique volatility and price behavior of gold. Get smarter entries and exits with confidence. 🔹 Algorithmic Insights: Built on advanced price action and custom logic to detect potential reversals, trend strength, and key market zones. 🔹 Simple Yet Powerful: Clean visuals, minimal noise – just the signals that matter. Designed for both beginner and experienced traders. 🔹 Ideal for Scalping, Intraday & Swing Trading: Whether you're in and out quickly or holding positions, ZZ Traders ALGO adapts to your style. 📈 Developed by Professional Traders, for Traders – because precision matters. 📩 For inquiries or access, contact me on WhatsApp: +92 300 8339822Pine Script® indicatorby zztraderszaryab15
MNQ TopStep 50K | Ultra Quality v3.0MNQ TopStep 50K | Ultra Quality v3.0 - Publish Summary 📊 Overview A professional-grade trading indicator designed specifically for MNQ futures traders using TopStep funded accounts. Combines 7 technical confirmations with 5 advanced safety filters to deliver high-quality trade signals while managing drawdown risk. 🎯 Key Features Core Signal System 7-Point Confirmation: VWAP, EMA crossovers, 15-min HTF trend, MACD, RSI, ADX, and Volume Signal Grading: Each signal is rated A+ through D based on 7 quality factors Quality Threshold: Adjustable minimum grade requirement (A+, A, B, C, D) Advanced Safety Filters (Customizable) Mean Reversion Filter - Prevents chasing extended moves beyond VWAP bands ATR Spike Filter - Avoids trading during extreme volatility events EMA Spacing Filter - Ensures proper trend separation (optional) Momentum Filter - Requires consecutive directional bars (optional) Multi-Timeframe Confirmation - Aligns with 15-min trend (optional) TopStep Risk Management Real-time drawdown tracking Position sizing calculator based on remaining cushion Daily loss limit monitoring Consecutive loss protection Max trades per day limiter Visual Components VWAP with 1σ, 2σ, 3σ bands EMA 9/21 with cloud fill 15-min EMA 50 for HTF trend Comprehensive metrics dashboard Risk management panel Filter status panel Detailed trade labels with entry, stops, and targets ⚙️ Default Settings (Balanced for Regular Signals) Technical Indicators Fast EMA: 9 | Slow EMA: 21 | HTF EMA: 50 (15-min) MACD: 10/22/9 RSI: 14 period | Thresholds: 52 (buy) / 48 (sell) ADX: 14 period | Minimum: 20 ATR: 14 period | Stop: 2x | TP1: 2x | TP2: 3x Volume: 1.2x average required Session Settings Default: 9:30 AM - 11:30 AM ET (adjustable) Avoids first 15 minutes after market open Customizable trading hours Safety Filters (Default Configuration) ✅ Mean Reversion: Enabled (2.5σ max from VWAP) ✅ ATR Spike: Enabled (2.0x threshold) ❌ EMA Spacing: Disabled (can enable for quality) ❌ Momentum: Disabled (can enable for quality) ❌ MTF Confirmation: Disabled (can enable for quality) Risk Controls Minimum Signal Quality: C (adjustable to A+ for fewer/better signals) Min Bars Between Signals: 10 Max Trades Per Day: 5 Stop After Consecutive Losses: 2 📈 Expected Performance With Default Settings: Signals per week: 10-15 trades Estimated win rate: 55-60% Risk-Reward: 1:2 (TP1) and 1:3 (TP2) With Aggressive Settings (Min Quality = D, All Filters Off): Signals per week: 20-25 trades Estimated win rate: 50-55% With Conservative Settings (Min Quality = A, All Filters On): Signals per week: 3-5 trades Estimated win rate: 65-70% 🚀 How to Use Basic Setup: Add indicator to MNQ 5-minute chart Adjust TopStep account settings in inputs Set your risk per trade percentage (default: 0.5%) Configure trading session hours Set minimum signal quality (Start with C for balanced results) Signal Interpretation: Green Triangle (BUY): Long signal - all confirmations aligned Red Triangle (SELL): Short signal - all confirmations aligned Label Details: Shows entry, stop loss, take profit levels, position size, and signal grade Signal Grade: A+ = Elite (6-7 points) | A = Strong (5) | B = Good (4) | C = Fair (3) Dashboard Monitoring: Top Right: Technical metrics and market conditions Top Left: Filter status (which filters are passing/blocking) Bottom Right: TopStep risk metrics and position sizing ⚡ Customization Tips For More Signals: Lower "Minimum Signal Quality" to D Decrease ADX threshold to 18-20 Lower RSI thresholds to 50/50 Reduce Volume multiplier to 1.1x Disable additional filters For Higher Quality (Fewer Signals): Raise "Minimum Signal Quality" to A or A+ Increase ADX threshold to 25-30 Enable all 5 advanced filters Tighten VWAP distance to 2.0σ Increase momentum requirement to 3-4 bars For TopStep Compliance: Adjust "Max Total Drawdown" and "Daily Loss Limit" to match your account Update "Already Used Drawdown" daily Monitor the Risk Panel for cushion remaining Use recommended contract sizing 🛡️ Risk Disclaimer IMPORTANT: This indicator is for educational and informational purposes only. Past performance does not guarantee future results All trading involves substantial risk of loss Use proper risk management and position sizing Test thoroughly in paper trading before live use The indicator does not guarantee profitable trades Adjust settings based on your risk tolerance and trading style Always comply with your broker's and TopStep's rulesPine Script® indicatorby elivgorelick33768
Crypto ETFs AUM📘 Description: BTC ETFs AUM Tracker This indicator tracks the Assets Under Management (AUM) and daily inflows/outflows of the main U.S.-listed Bitcoin ETFs, allowing you to visualize institutional capital movement into Bitcoin products over time. It helps traders correlate institutional capital movement with Bitcoin price behavior. 🧩 Overview The script adds up the daily AUM changes from selected Bitcoin ETFs to estimate the total net inflow/outflow of capital into spot BTC funds. It also accumulates those flows over time to display the total aggregated AUM balance, giving you a clearer sense of market direction and institutional sentiment. Two display modes are available: Balance view: plots the cumulative sum of net inflows (total ETF AUM). Inflows view: shows daily inflows (green) and outflows (red) as histogram columns, together with a smoothed moving average line. ⚙️ Inputs Explained Base Settings Base Multiplier (base_multi) – Scaling factor applied to all AUM values. Leave at 1 for USD units, or adjust to display values in millions (1e6) or billions (1e9). Smoothing (c_smoothing) – Period length for the simple moving average used to calculate the smoothed mean inflow/outflow line. Show Balance (showBalance) – When enabled, displays the total cumulative AUM balance (sum of all net inflows over time). Show Inflows (showInflows) – When enabled, displays the daily inflows/outflows as colored columns. ETF Selection You can toggle which ETFs are included in the calculation: BIT (BlackRock) GBTC (Grayscale) FBTC (Fidelity) ARKB (ARK/21Shares) BITB (Bitwise) EZBC (Franklin Templeton) BTCW (WisdomTree) BTCO (Invesco Galaxy) BRRR (Valkyrie) HODL (VanEck) Each switch determines whether the ETF’s AUM and daily flow data are included in the total calculation. 📊 Displayed Values Green Columns → Positive daily net inflows (AUM increased). Red Columns → Negative daily net outflows (AUM decreased). Orange Line → Smoothed moving average of net flows, used to identify persistent inflow/outflow trends. Blue Line (if enabled) → Total cumulative AUM balance (sum of all historical flows). 💡 Usage Notes Works best on daily timeframe, since ETF data is typically updated once per trading day. Not all ETFs have identical data history; missing data points are automatically skipped. The indicator doesn’t represent official fund NAV or guarantee data accuracy — it visualizes TradingView’s public financial feed. You can combine this tool with price action or on-chain metrics to analyze institutional Bitcoin flows. Note: Some ETF data may not be available to all users depending on their TradingView data subscription or market access. Missing values are automatically skipped. 🧠 Disclaimer This script is for educational and analytical purposes only. It is not financial advice, and no investment decisions should be based solely on this indicator. Data accuracy depends on TradingView’s financial data sources and exchange reporting frequency.Pine Script® indicatorby mks17228
Auto Hourly StatsCredit to wheresbing for the original version. Mine simply provides: - automatically calculates retrace stats, no need to input anything. - Also cleaned up the ui a bit - ability to toggle between hourly data independent of chart timeframes Pine Script® indicatorby Nejjie73-Pack_TraderUpdated 23
Global Risk Terminal – Multi-Asset Macro Sentiment IndicatorDescription: The Global Risk Terminal is a sophisticated macro sentiment indicator that synthesizes signals from three key cross-asset relationships to produce a single, actionable risk appetite score. It is designed to help traders and investors identify whether global markets are in a risk-on (growth-seeking) or risk-off (defensive) regime. The indicator analyzes the behavior of commodities, equities, bonds, and currencies to generate a comprehensive view of market conditions. Indicator Output: The Global Risk Terminal produces a normalized risk score ranging from -1 to +1: Positive values indicate risk-on conditions (growth assets favored) Negative values indicate risk-off conditions (safe-haven assets favored) Core Components: Growth Pulse (Copper to Gold Ratio, HG/GC) Purpose: Measures investor preference for industrial growth versus safe-haven assets. Interpretation: Rising ratio → Copper outperforming gold → Risk-on environment Falling ratio → Gold outperforming copper → Risk-off environment Flat ratio → Transitional market phase Technical Implementation: Dual moving average slope method (fast MA default 20, slow MA default 40). Positive slope = +1, negative slope = -1, flat slope = 0 Equity Rotation (Russell 2000 to S&P 500 Ratio, RTY/ES) Purpose: Tracks rotation between small-cap and large-cap equities, revealing market risk appetite. Interpretation: Rising ratio → Small-caps outperforming → Strong risk-on Falling ratio → Large-caps outperforming → Defensive positioning Technical Implementation: Dual moving average slope method (same as Growth Pulse) Flow Gauge (10-Year Treasury to US Dollar Index, ZN/DXY) Purpose: Captures liquidity conditions and cross-asset capital flows. Interpretation: Rising ratio → Treasury prices rising or USD weakening → Liquidity expansion, risk-on environment Falling ratio → Treasury prices falling or USD strengthening → Liquidity contraction, risk-off environment Technical Implementation: Dual moving average slope method Composite Risk Score Calculation: Analyze each component for trend using dual moving averages Assign signal values: +1 (risk-on), -1 (risk-off), 0 (neutral) Average the three signals: Risk Score = (Growth Pulse + Equity Rotation + Flow Gauge) / 3 Optional smoothing with exponential moving average (default 3 periods) to reduce noise Interpreting the Risk Score: +0.66 to +1.0: Full risk-on – favor cyclical sectors, small-caps, growth strategies +0.33 to +0.66: Moderate risk-on – mostly bullish environment, watch for fading momentum -0.33 to +0.33: Neutral/transition – markets in flux, signals mixed, exercise caution -0.66 to -0.33: Cautious risk-off – favor defensive sectors, reduce high-beta exposure -1.0 to -0.66: Full risk-off – strong defensive positioning, prioritize safe-haven assets How to Use the Global Risk Terminal to Frame Trades: Aligning Trades with Market Regime Risk-On (+0.33 and above): Look for buying opportunities in cyclical stocks, high-beta equities, commodities, and emerging markets. Use long entries for swing trades or intraday positions, following confirmed price action. Risk-Off (-0.33 and below): Shift focus to defensive sectors, large-cap quality stocks, U.S. Treasuries, and safe-haven currencies. Prefer short entries or reduced exposure in risky assets. Entry and Exit Framing Use the risk score as a macro filter before executing trades: Example: The risk score is +0.7 (strong risk-on). Prefer long positions in equities or commodities that are showing bullish confirmation on your regular chart. Conversely, if the risk score is -0.7 (strong risk-off), avoid aggressive longs and consider short or defensive trades. Watch for threshold crossings (+/-0.33, +/-0.66) as potential inflection points for adjusting position size, stop-loss levels, or sector rotation. Confirming Trade Decisions Combine the Global Risk Terminal with price action, volume, and trend indicators: If equities rally but the risk score is declining, this may indicate a fragile rally driven by few leaders—trade cautiously. If equities fall but the risk score is rising, consider counter-trend entries or buying dips. Risk Management and Position Sizing Strong alignment across components → increase position size and hold with wider stops Mixed or neutral signals → reduce exposure, tighten stops, or avoid new trades Defensive regimes → rotate into stable, low-volatility assets and increase cash buffer Framing Trades Across Timeframes Use the indicator as a strategic guide rather than a precise timing tool. Even without the MTF table: Daily trend alignment → Guide swing trade bias Shorter timeframe price action → Refine entry points and stop placement Example: Daily chart shows +0.6 risk score → identify high-probability long setups using intraday technical patterns (breakouts, trend continuation). Sector and Asset Rotation Risk-On: Focus on cyclical sectors (financials, industrials, materials, energy), small-caps, high-beta instruments Risk-Off: Focus on defensive sectors (utilities, consumer staples, healthcare), large-caps, safe-haven instruments Alert Integration Set alerts on the risk score to notify you when markets move from neutral to risk-on or risk-off regimes. Use these alerts to plan entries, exits, or portfolio adjustments in advance. Customization Options: Moving Average Length (5–100): Adjust sensitivity of trend detection Score Smoothing (1–10): Reduce noise or see raw risk score Visual Themes: Six preset themes (Cyber, Ocean, Sunset, Monochrome, Matrix, Custom) Display Options: Show or hide component dashboards, main header, risk level lines, gradient fill, and component signals Label Size: Tiny, Small, Normal, Large Alert Conditions: Risk score crosses above +0.66 → Strong risk-on Risk score crosses below -0.66 → Strong risk-off Risk score crosses zero → Neutral line Risk score crosses above +0.33 → Moderate risk-on Risk score crosses below -0.33 → Moderate risk-off Data Sources: HG1! – Copper Futures (COMEX) GC1! – Gold Futures (COMEX) RTY1! – Russell 2000 E-mini Futures (CME) ES1! – S&P 500 E-mini Futures (CME) ZN1! – 10-Year U.S. Treasury Note Futures (CBOT) DXY – U.S. Dollar Index (ICE) Notes and Limitations: Works best during clear macro regimes and aligned trends Use with price action, volume, and other technical tools Not a standalone trading system; serves as a macro context filter Equal weighting assumes all three components are equally important, but market conditions may vary Past performance does not guarantee future results Conclusion: The Global Risk Terminal consolidates complex cross-asset signals into a simple, actionable score that informs market regime, portfolio positioning, sector rotation, and trading decisions. Its user-friendly layout and extensive customization options make it suitable for traders of all experience levels seeking macro-driven insights. By framing trades around risk score thresholds and combining macro context with tactical execution, traders can identify higher-probability opportunities and optimize position sizing, entries, and exits across a wide range of market conditions. Pine Script® indicatorby joeljohnrussell36
Gaussian Filter [BigBeluga] Irshad KhanYou can create Alert on Long and short . you can easily get alert on trade . Pine Script® indicatorby AAAD198324
CloudShiftCloudShift + Bollinger Bands This version of CloudShift now includes fully optimized Bollinger Bands with all three dynamic lines: Upper Band: Highlights expansion during volatility spikes. Lower Band: Identifies compression and accumulation zones. Centerline (Basis): A smooth reference of the moving average, providing better visual balance and directional context. The bands are drawn with thin, clean lime lines, designed to integrate perfectly with the cloud logic — keeping your chart minimalist yet powerful. This update enhances the CloudShift indicator by providing a clear visual framework of market volatility and structure without altering its original logic. Recommended for use on: NASDAQ, S&P 500, and other high-volatility futures. Recommended timeframe: 5–15 minutes.Pine Script® indicatorby THEGREATNAPLESTRADERX24
Forex Session High/Low TrackerThis indicator maps out each Forex session along with their relative highs and lows.Pine Script® indicatorby Ctshasalltherest52
BTC Price Spread Heatmap (Coinbase vs Binance (chart symbol))Observation was made about price spread varying among exchanges. Original event took place Oct 4-5th. BIN/BTC was about 1K lower than COIN/BTC. Implemented a visualization to capture specifically Binance and coinbase spread comparison. This may lend as a tool to help build a case if there is a correlation. At this time Binance holds 43.1% of the market share and coinbase a mear 5.5%...Pine Script® indicatorby HyptoCrypto_1
MTF Trend Dashboard LITE (Daily & 4H)Overview The MTF Trend Dashboard LITE by G.C provides instant directional clarity between the Daily and 4-Hour timeframes using refined EMA (9 / 21) logic. It’s built for traders who want simple, accurate trend confirmation without switching between multiple charts. Why It Matters One of the biggest causes of trading errors is timeframe conflict — seeing a bullish setup on one chart and a bearish signal on another. This tool solves that problem by showing both the Daily and 4H structure side-by-side, using objective EMA-based logic. When both agree, bias is strong. When they conflict, it’s a signal to wait. Core Features • Two-timeframe dashboard ( Daily + 4H ) • Non-repainting EMA (9 / 21) logic • Color-coded states ( Bullish / Bearish / Neutral ) • Lightweight and easy to read • Adjustable panel position: Top Right / Top Left / Bottom Right / Bottom Left How to Use Add the indicator to any chart. Wait for both timeframes to align before entering trades. Mixed signals often indicate sideways or transitional markets. Combine with your existing trading strategy for confirmation. Trend Condition Glossary ▲ STRONG BULLISH – EMA(9) well above EMA(21) and both sloping upward. Strong upward momentum with price above both EMAs. BULLISH – EMA(9) above EMA(21) but weaker slope or price confirmation. Moderate uptrend or early recovery. NEUTRAL – EMAs crossing or flat. Market lacks structure — consolidation or indecision. ▼ BEARISH – EMA(9) below EMA(21) with limited slope. Mild correction or early reversal. ▼ STRONG BEARISH – EMA(9) below EMA(21), both sloping down, price below both. Strong downtrend, clear seller control. Who It’s For Traders who want a clean, no-noise confirmation tool to simplify directional bias decisions in swing and intraday setups. Disclaimer This indicator is for analytical and educational purposes only. Always trade with discipline, patience, and sound risk management.Pine Script® indicatorby Gurhan_c2219
BFM Yen Carry to Risk Ratio (Dynamic Rates)Shows risk of yen carry trade unwinding. Based on cost to borrow from Japan to buy us stocks compared to interest rate in USA.Pine Script® indicatorby bitcoinfundmgr7