ES NQ Spread EMA Cloud MomentumRelative Momentum Filter ES (vs NQ)
๐ฏ Indicator Purpose
This indicator is not an entry signal.
Its purpose is to identify phases where the S&P 500 (ES) becomes relatively stronger or weaker than the Nasdaq (NQ), in order to filter trades in the correct direction.
It is especially suited for scalping and intraday trading, as a complement to tools such as VWAP, price structure, or footprint.
๐ General Principle
The indicator calculates an ESโNQ spread, then analyzes:
relative strength (ES vs NQ)
changes in relative momentum
Two exponential moving averages are used:
EMA 20: active relative momentum
EMA 40: short-term relative context
The position of EMA 20 relative to the zero level indicates whether ES is structurally strong or weak compared to NQ.
โ๏ธ Context Cloud (Directional Bias)
A colored cloud appears between the two EMAs to define the allowed directional bias:
๐ข Green Cloud (Long ES bias)
EMA 20 < 0
EMA 20 > EMA 40
โ ES was relatively weak and is starting to strengthen
๐ด Red Cloud (Short ES bias)
EMA 20 > 0
EMA 20 < EMA 40
โ ES was relatively strong and is starting to weaken
When no cloud is present, the context is neutral.
๐ฏ Momentum Confirmation (Green / Red Background)
A colored background appears only when relative momentum is confirmed:
๐ข Green Background
long bias active
the spread moves back below the EMA zone
โ momentum resumes in favor of ES longs
๐ด Red Background
short bias active
the spread moves back above the EMA zone
โ momentum resumes in favor of ES shorts
These areas highlight moments of interest to look for a setup on ES, not automatic trade entries.
๐ TradingView Alerts
The indicator includes:
one LONG alert
one SHORT alert
Each alert can be manually enabled or disabled, for example based on the price position relative to VWAP.
โ ๏ธ Best Practices
Use this filter only as a contextual tool
Always wait for price confirmation
Avoid trading against the indicated bias
Do not use it as a standalone system
Moving Averages
Multi-Filter Slope Master Pro CareC v2This advanced multi-timeframe indicator analyzes EMA slope trends with customizable filtering to identify high-probability trading opportunities. It calculates slope momentum for EMA 9, 20, and 50 using three different methods (Linear Regression, Weighted, or Simple), applies higher timeframe trend filtering and volume confirmation, and presents signals in a highly configurable data table with five color themes and six positioning options. The indicator visualizes filtered slope values while offering comprehensive trend strength analysis through real-time table displays that adapt to different screen sizes and user preferences.
EMA Scalper Pro BY FS and Grok
- Main Configuration (Inputs)
When adding the indicator, you'll see a settings panel divided into groups. Here's the key ones and recommendations for your setup (60x on BTC at open):
EMA Configuration:
"EMA Fast Period" (default 7): Fast EMA for momentum. Lower for faster signals (e.g., 5-9).
"EMA Slow Period" (default 25): Slow EMA for trend. Increase for more stable trends (e.g., 20-30).
"Show EMAs" (true): Displays blue (fast) and orange (slow) lines. Turn off if the chart is cluttered.
Candle Patterns:
"Confirmation Candles" (default 2): Bars to check patterns (e.g., hammer, engulfing). Increase to 3-4 for fewer false signals.
"Enable Patterns" (true): Activates bullish/bearish pattern filter. Useful for signal confirmation.
Market Structure:
"Pivots Lookback" (default 5): Bars to detect higher highs/lower lows. Adjust to 3-7 for BTC volatility.
"Show Labels" (true): Draws "Uptrend" (green) or "Downtrend" (red) on pivots.
"Filter by Trend" (true): Buy signals only in uptrend, sell in downtrend. Enable to avoid counter-trend trades.
Volume Confirmation:
"Volume MA Length" (default 14): Period for volume average. Lower for sensitivity.
"Z-Score Threshold" (default 2.0): Threshold for spikes. Lower to 1.5 for more signals.
"Enable Volume Confirmation" (true): Requires volume spike for signals.
Liquidity Zones:
"Minimum Reaction ($)" (default 400): Minimum move for a zone. Adjust based on BTC volatility.
"Max Zones to Show" (default 20): Limit of boxes (green for buy/low, red for sell/high).
"Zone Width (x ATR)" (default 0.5): Width based on volatility. Increase for wider zones.
"Show Liquidity Zones" (true): Draws horizontal boxes.
"Enable Alerts" (true): Alerts when entering a zone (e.g., "Price entered Liquidity Buy Zone").
Order Blocks Detection:
Similar to liquidity: "Minimum Reaction" (400), "Max" (20), "Width" (0.5), "Show" (true), "Alerts" (true).
Boxes: Lime for bull (support), fuchsia for bear (resistance).
Fair Value Gaps Detection:
"Minimum Gap ($)" (default 50): Minimum gap for FVG.
"Max FVGs" (20): Limit of boxes (teal for bull, maroon for bear; gray if mitigated).
"Show FVGs" (true): Draws gaps.
"Enable FVG Alerts" (true): When entering (e.g., "Price entered Bullish FVG").
"Enable FVG Mitigation Alerts" (true): When filling gap (e.g., "Bullish FVG Mitigated").
Higher TF Table: "Show Table" (true): Displays table with EMA crosses on 5m, 15m, etc. (TF, Dir: Bullish/Bearish, Bars since cross).
Recommendation for your setup: Keep defaults to start. On 1m/5m, enable all filters for precision in 60x. Test in demo before live.
- How to Interpret the Indicator on the Chart
EMA Lines: Blue (fast), orange (slow). Bullish cross (blue over orange) = potential buy; bearish = sell.
Confirmed Crosses: Green cross below (buy), red above (sell), offset to align with candle.
Trend Labels: "Uptrend" green on highs, "Downtrend" red on lows. Indicates structure (HH/LL).
Liquidity Zones: Extended horizontal boxes. Green (buy/support), red (sell/resistance). Expect reactions (bounce/break) when touched.
Order Blocks: Lime boxes (bull/support), fuchsia (bear/resistance). Areas where accumulated orders can cause reactions.
FVGs: Teal boxes (bull/imbalance up), maroon (bear/imbalance down). Unfilled gaps; gray if mitigated (gap closed).
Final Signals: Green triangle below (buy), red above (sell). Combines everything: cross + patterns + trend + volume.
Higher TF Table: In top-right. Shows for 5m-D: TF, Dir (Bullish green/Bearish red), Bars (since last cross). Useful to align with larger trends.
- Alerts and Notifications
Set up alerts in TradingView: Right-click on the indicator > "Add alert".
Signals: "Buy Signal" or "Sell Signal" when triangle appears.
Zones: When entering box (e.g., "Price entered Liquidity Buy Zone").
OB/FVG: Similar, plus mitigation (e.g., "Bullish FVG Mitigated" when gap fills, signaling potential continuation).
- How to Use in Trading (Tips for Your Setup)
Timeframe: 1m/5m for scalping at open (9:30 AM ET, influenced by traditional markets).
Strategy: Wait for signal (triangle) near zone/OB/FVG, with volume and trend aligned. In 60x, use stops at ATR (e.g., 1-2x ATR) and takes at 1:2 ratio. Low exposure (3-5 min/trade).
Risk: Always backtest (in TradingView) and use 1-2% capital per trade. Not financial advice; combine with your analysis.
Customization: Disable filters for more signals, but increases risk. For volatile BTC, lower reaction/gap thresholds.
S1 (Swing System)What it is
S1 is a futures swing framework built to produce fewer, higher-quality setups across multi-session moves. Itโs designed to reduce decision fatigue and avoid overtrading chop.
How it works (high level)
Regime first: A context layer identifies when swing participation historically behaves better (vs. chop/transition regimes).
Selectivity second: Setup rules are intentionally restrictive; S1 is not built for constant signals.
Risk + hold behavior: Exits are shaped to improve multi-session stability, not to optimize one perfect trade.
How to use
Keep setting defaults initially.
Evaluate by stability across regimes and drawdown clustering, not individual trades.
Initial Capital: 50000
Base currency: Default
Default order size: 1
Pyramiding: 0
Strategy testing disclosure
Backtests vary by symbol, timeframe, session settings, and fill assumptions. Use realistic commission + slippage, avoid oversized % risk, and evaluate a meaningful sample size before drawing conclusions. Published results must match the default Properties/Inputs shown in the script.
Not financial advice. Futures trading involves risk. Past performance does not guarantee future results.
Multiple indicator for futures in scalping"Multiple indicator with:
EMA 8, 20, 50, 100, 200
Bollinger Bands
Daily, weekly, and monthly OHLC
Fibonacci pivot points R1R2R3/S1S2S3
VWAP
It works very well for futures, to see where to enter and exit, and to get positioned. I mostly use it on the Nasdaq and DAX, where the price constantly bounces in the areas marked by this indicator. Itโs only for scalping, ideal on a 1-minute chart."
GK V2 Zero-Lag trend Ribbon GK Zero-Lag Trend Ribbon V2 is the same as version 1 but with a trend ribbon to help identify the trend. Designed to help keep traders aligned with clean market direction, it uses a Zero-Lag EMA based trend ribbon with adaptive volatility bands to clearly identify bullish and bearish trends wile filtering out noise with signal prints. The ribbon dynamically changes colour to show trend bias, and GK BUY / GK SELL only print on confirmed trend flip- one clean signal per trend no clutter
SMA Strategy [MK]Overview
This strategy is a momentum-based trend-following system designed to capture sustained market moves while minimizing "whipsaws" often found in sideways markets. It utilizes a dual-SMA filter for trend direction, a precise price-crossover trigger for entry, and the Average Directional Index (ADX) to gauge market strength.
How It Works
The strategy follows a strict "Trend + Momentum + Strength" hierarchy:
1. Trend Identification (The Filter) The script uses a Fast SMA (20) and a Slow SMA (50).
Long Bias: SMA-20 > SMA-50.
Short Bias: SMA-20 < SMA-50.
2. Precise Entry (The Trigger) Unlike strategies that enter simply because the price is above a line, this script requires a Price Crossover.
Long Entry: Price must actively cross from below to above the SMA-20.
Short Entry: Price must actively cross from above to below the SMA-20.
3. Trend Strength (The ADX Gatekeeper) To solve the problem of sideways markets where moving averages run parallel, weโve integrated the ADX (Average Directional Index). The strategy will only trigger a trade if the ADX is above a user-defined threshold (default is 25), ensuring we only enter when the market is trending.
4. RSI Safety Filter To prevent "buying the top" or "selling the bottom," the RSI checks for overextended conditions. It prevents long entries if the RSI is already overbought and short entries if it is oversold.
Exit Logic
The strategy features three layers of protection:
Trend Reversal Exit: Closes the position if the price crosses back over the SMA-20 while the macro trend (SMA-20/SMA-50) has flipped.
Fixed Take Profit: A percentage-based target to lock in gains during sharp moves.
Fixed Stop Loss: A percentage-based safety net to protect capital.
Key Features
Directional Selector: Choose between "Long Only," "Short Only," or "Both."
Visual Feedback: Background colors highlight "Trending" (Green) vs "Sideways" (Red) market regimes.
Fully Customizable: All lengths and thresholds for SMAs, RSI, and ADX can be adjusted to fit different assets and timeframes.
Instructions for Use
Timeframe: This strategy is optimized for trending timeframes such as the 1-Hour (1H), 4-Hour (4H), or Daily (D). Using it on very low timeframes (1-minute or 5-minute) may increase the number of false signals due to market noise.
Asset Classes: Best suited for high-volume assets like Major Forex Pairs, Large-Cap Stocks, and Blue-Chip Cryptocurrencies.
Parameter Tuning: Use the "Strategy Tester" to find the ideal ADX Threshold for your specific asset. Volatile assets usually require a higher ADX (30+) to filter out fake breakouts.
Disclaimer
Financial Risk Warning: The script provided is for educational and informational purposes only. Trading involves significant risk, and there is always the potential for loss. Past performance, whether simulated or real, is not a guarantee of future results.
The author of this script is not a financial advisor. This indicator is not a signal service or a recommendation to buy or sell any security. Always perform your own due diligence and test any strategy thoroughly on a demo account before risking live capital. By using this script, you acknowledge that you are solely responsible for your trading decisions and any resulting financial outcomes.
Predictive ZLEMA NavigatorThis is an advanced trend-following indicator that combines Zero-Lag Exponential Moving Averages (ZLEMA) with predictive crossover analysis to identify high-probability trade entries with exceptional timing precision.
Key Features:
1. Zero-Lag Technology
Utilizes ZLEMA calculation to eliminate the inherent lag found in traditional EMAs
Provides faster response to price movements while maintaining smooth trend identification
Default periods (34/89) align with Fibonacci sequence for natural market rhythm detection
2. Predictive Crossover System
Unique algorithm forecasts upcoming Golden Cross and Death Cross events before they occur
Displays estimated bars until next crossover, giving traders advance preparation time
Helps avoid late entries by signaling trend changes up to 200 bars in advance
3. Visual Direction Arrows
Color-coded projection arrows show the momentum trajectory of both fast and slow ZLEMAs
Adjustable projection length allows customization for different trading timeframes
Instantly identifies whether trends are strengthening or weakening
4. Multi-Layer Signal Confirmation
Clear crossover points marked with circles and confirmation ticks
Dynamic fill coloring between MAs for instant trend bias recognition
Bullish signals (green/blue) and bearish signals (orange/red) prevent confusion
Performance Characteristics:
Strengths:
Reduced Whipsaws: ZLEMA's lag reduction minimizes false signals in ranging markets
Early Detection: Predictive algorithm provides 10-50 bar advance warning of trend changes
Versatile Application: Works across all timeframes (1-minute to daily) and asset classes
Visual Clarity: Clean interface prevents information overload while maintaining comprehensive data
Optimal Use Cases:
Swing trading on 4H-Daily timeframes
Trend confirmation for breakout strategies
Portfolio rotation timing based on momentum shifts
Works exceptionally well on trending assets (crypto, indices, trending stocks)
Trading Approach:
Enter long on Golden Cross confirmation with upward direction arrows
Exit or reverse on Death Cross with downward momentum projection
Use prediction labels to scale into positions before actual crossover
Combine with volume analysis for enhanced confirmation
Built-in Alert System: Automated notifications for both bullish and bearish crossovers ensure you never miss a trading opportunity.
This indicator bridges the gap between reactive and predictive trading, giving you the speed of ZLEMA with the foresight of trend projection analysis.
DISCLAIMER: This information is provided for educational purposes only and should not be considered financial, investment, or trading advice.Happy Trading
Multi-Filter Slope Master Pro CareCAdvanced EMA Slope Analyzer with Smart Filters
Key Features:
๐ Core Analysis
Tracks slopes of 3 EMAs (9, 20, 50)
Multiple slope calculation methods
Requires price + slope confirmation for signals
๐ก๏ธ Smart Filters
Multi-timeframe trend confirmation
Volume-based signal weighting
Trading session restriction
๐ Visual Dashboard
Interactive data tables (multiple layouts)
Real-time trend strength histogram
Color-coded signal markers
Customizable themes & positions
๐ Output
Individual EMA signals (Bullish/Bearish/Neutral)
Combined trend strength score
Overall market bias indicator
Chart alerts for signal changes
Purpose: Identify high-probability trend movements by filtering out noise through multiple confirmation layers.
EMA Slope Checker Pro CareCAn enhanced momentum analysis indicator that measures the rate of change of key EMAs (9, 20, 50) with a fully customizable data table. It provides real-time slope calculations, visual trend direction arrows, and a professional-grade information panel that can be positioned, resized, and color-customized to match any trading background or screen layout.
Perfect for momentum traders who need quick, at-a-glance EMA slope information with maximum visibility and customization options.
OTM Adaptive Kalman CloudOTM โข Adaptive Kalman Cloud โ User Guide
OTM โข Adaptive Kalman Cloud is a trend + momentum visual tool built around two Adaptive Kalman filters (Fast & Slow). It prints a directional cloud that reacts quickly when the market shifts, but stays smooth enough to keep you out of chop.
What it shows
Fast Kalman = short-term direction / impulse
Slow Kalman = trend baseline / structure bias
Cloud = the โstateโ of the market (trend vs reversal vs chop)
How to read it
Bullish state
Cloud is bull color
Fast is above Slow (or Fast slope is rising if using slope mode)
Best trades: pullbacks into the cloud + continuation
Bearish state
Cloud is bear color
Fast is below Slow (or Fast slope is falling)
Best trades: pullbacks into the cloud + continuation
Transition / reversal
Cloud flips color after Fast/Slow relationship changes
Treat first flip as warning, confirmation comes from structure/liquidity (your SMC tool)
Settings that matter (donโt overcomplicate it)
1) Lengths
Fast (8โ13): quicker signals, more noise
Slow (21โ55): cleaner bias, fewer flips
Typical: 8 / 21 (fast scalps) or 13 / 34 (cleaner trend)
2) Color Mode
Fast>Slow: best for trend bias (simple + reliable)
Fast Slope: more responsive, can flip earlier in chop
3) Timeframe + Wait for Close
Set a higher TF (ex: 1H) to use it as bias
Turn on Wait for timeframe closes to stop HTF repaint-style flicker
4) Cloud Thickness
Thickness Mult is visual only (makes the cloud easier to see)
Doesnโt change the Kalman calculationโjust visibility
5) Spread (Visual Helper)
Spread is visual only to separate lines when volatility is low
Use ATR spread for most markets
Best way to use it (simple rules)
Only trade in the cloud direction
Entries: wait for price to pull back into/near the cloud, then continue
Exits: when cloud flips against you OR momentum dies and structure breaks
Combine with your SMC: use the cloud as bias, SMC as entry trigger
Recommended presets
Gold / BTC (5mโ15m)
Fast 8, Slow 21
Color mode: Fast>Slow
Thickness: 1.6โ2.2
Spread: ATR, 14, amount 0.10โ0.25 depending on volatility
Moving Averages 20, 50, 150, 200This indicator plots four commonly used Simple Moving Averages on the price chart: 20, 50, 150, and 200.
It is designed to help traders easily identify short-term, medium-term, and long-term trend direction, as well as key crossover events.
Features:
SMA 20 (purple) โ short-term momentum
SMA 50 (greenish) โ intermediate trend
SMA 150 (yellow) โ long-term bias
SMA 200 (orange) โ major trend direction
Visual crossover markers for:
SMA 20 / SMA 150
SMA 50 / SMA 200
The indicator uses Pine Scriptยฎ v6 and is fully compatible with the latest TradingView platform.
All moving average lengths can be customized in the settings.
This script is intended for trend analysis and confirmation and can be used across all markets and timeframes.
TA Confluence Scanner v2.9 | Mint_Algo๐ TA Confluence Scanner
Introduction
The TA Confluence Scanner is a multi-factor trend system designed to filter market noise and identify high-probability trade setups. By combining adaptive algorithms (KAMA) with Price Action methodologies (SMC, Breakouts, Fractals), this indicator operates on the principle of Confluence : a signal is only valid when multiple independent tools agree on the direction.
Instead of relying on a single lagging indicator (like just MA fast and slow crossover), this script acts as a "Scanner," evaluating the market state through Volatility, Trend Structure, and Equilibrium.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Important Note
To make this "Plug & Play," I have included optimized presets in the settings for different timeframes (1m/15m-1h/4h-1D) and trading styles (Scalper, Intraday, Swing, Investor) tested on symbols:
FX:EURUSD
IG:NASDAQ
BITSTAMP:BTCUSD
BINANCE:ETHUSD
CAPITALCOM:US500
OANDA:XAUUSD
NASDAQ:AAPL
NASDAQ:TSLA
BUT default settings already include a good preset which excludes most of the noise and grabs the trend better (fewer entries, but quality is higher).
Check the presets at the bottom ๐
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Core Features
Adaptive Trend Filter (KAMA): Adjusts to market volatility to distinguish between chop and true trends.
SMC Equilibrium (EQ) Fans: A three-tiered dynamic structure (Fast, Medium, Slow) for trailing stops and targets.
Confluence Counter: Visually displays the strength of a signal (e.g., "Strong 4/6") based on how many factors align.
Re-Entry Logic: Identifies low-risk entry points within an existing trend.
Automated S/R & Breakouts: Detects key pivot levels and structural breaks.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Settings & Components Breakdown
1. KAMA (Primary Trend Filter)
The backbone of the system. It calculates the Efficiency Ratio (ER) of price movement.
How it works: If the ER is high (strong trend), KAMA follows price closely. If ER is low (ranging), KAMA flattens out to prevent false signals.
Tuning:
Fast (ER ~100/5/60): For Scalping.
Smooth: Default settings are optimized for a balance between lag and noise reduction.
2. SMC Equilibrium (EQ Structure)
Based on the HL2 formula (High+Low / 2), this creates a "fan" of three lines:
EQ1 (Fast): The aggressive line. Used for early exits or scalping stops.
EQ2 (Medium): The baseline trend structure.
EQ3 (Slow): The major trend container. Used for position trading.
Usage: Use these lines to gauge how far price has deviated from its "fair value."
3. Breakout & Internal Trend
Lookback Period: Defines the range for a valid breakout. A lower lookback (e.g., 10) gives earlier signals but more noise; a higher lookback (e.g., 20-30) confirms significant structural breaks.
Internal Trend: A simplified SMA check to ensure immediate momentum aligns with the macro trend.
4. Signal Strength (The Confluence Meter)
The indicator counts active signals from: KAMA, Internal Trend, S/R, FVG, Breakout, and EQ.
Strong Signal: When the count hits your threshold (e.g., 4/6 ). This suggests a high-probability reversal or breakout.
Medium Signal (Triangles): These appear when the trend is active but not all filters align. These are excellent continuation/re-entry points.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
How to Trade (Strategy Guide)
๐ฏ The Entry
Wait for a Strong Signal (Large Label). This confirms that volatility, structure, and momentum have aligned.
Conservative: Wait for the candle to close.
Aggressive: Enter on the breakout of the KAMA line.
๐ Re-Entry & Continuation
Markets rarely move in a straight line.
Scenario: You missed the initial "Strong" entry, or you took profit and want to re-enter.
The Signal: Look for the small Triangles (Medium signals). These often appear after a pullback when price resumes the main trend.
Logic: If the main KAMA trend is still green/red, but the "Strong" signal isn't firing, a Triangle indicates a safe place to add to a position.
โ ๏ธ Pyramiding & Risk Management (Advanced)
The EQ Lines (Fast/Medium/Slow) are designed for a tiered position management strategy:
Entry: Open position (e.g., 0.03 lots).
First Take Profit: When price extends far beyond EQ1 (Fast) , lock in partial profits.
Trailing Stop: Move your Stop Loss to trace the EQ2 (Medium) line.
Trend Riding: Hold the "Runner" portion of your position until price closes back under EQ3 (Slow) or the KAMA line.
Tip: Use William Fractals (Period 2) to pinpoint exact swing highs/lows for tightening stops.
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Presets & Optimized Settings
To make this "Plug & Play," I have included optimized presets in the settings for different trading styles.
(If you don't see some parameters, that means they are turned off in trading mode)
โก SCALPER (1m - 5m)
KAMA:
ER: 100
Fast Length: 15
Slow Length: 30
FVG:
Size %: 0.01
Trend Detection:
Length: 20
Breakout:
Lookback Period: 10
S/R Detection:
Pivot Length: 10
Tolerance: 0.3
SMC EQ:
Default: 10
EQ1: 10
EQ2 (Main): 30
EQ3: 120
Signal Strength:
Strong: 4
Medium: 3
๐ INTRADAY (15m - 1H)
KAMA:
ER: 100
Fast Length: 5
Slow Length: 30
Trend Detection:
Length: 100
Breakout:
Lookback Period: 30
S/R Detection:
Pivot Length: 20
Tolerance: 0.5
SMC EQ:
Default: 10
EQ1: 10
EQ2 (Main): 40
EQ3: 80
Signal Strength:
Strong: 4
Medium: 3
๐ SWING (4H - 1D)
KAMA:
ER: 30
Fast Length: 4
Slow Length: 30
Trend Detection:
Length: 50
Breakout:
Lookback Period: 20
S/R Detection:
Pivot Length: 30
Tolerance: 0.7
SMC EQ:
Default: 10
EQ1: 10
EQ2: 50
EQ3 (Main): 60
Signal Strength:
Strong: 4
Medium: 3
๐ผ INVESTOR (4H - 1D+)
KAMA:
ER: 30
Fast Length: 5
Slow Length: 10
Trend Detection:
Length: 100
Breakout:
Lookback Period: 50
S/R Detection:
Pivot Length: 30
Tolerance: 0.7
SMC EQ:
Default: 10
EQ1: 10
EQ2: 50
EQ3 (Main): 100
Signal Strength:
Strong: 4
Medium: 3
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Notes
FVG (Fair Value Gaps): Optional. Enable if you trade volatile assets like Crypto/Gold where imbalances are common.
Support/Resistance: The built-in Pivot system is optional. Disable it if you prefer drawing your own levels to keep the chart clean.
Recommended Pairing:
For best results, pair this with a momentum oscillator like RSI to detect the range regime of a trend. Or DI+ and DI- (when it crosses over each other, that means the "range of possible" regime change of a trend).
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Disclaimer:
This tool is for informational purposes only. "Confluence" increases probability but does not guarantee results. Always manage your risk.
EMA Cross Pro v2.0
An indicator that generates trade signals based on EMA crosses and automatically displays multiple stop-loss/take-profit lines. Also includes a higher timeframe trend filter.
Main Features
ใ1. EMA Cross Signalsใ
Generates entry signals when Fast EMA (default 7) crosses Standard EMA (default 16).
ใปGolden cross โ Long signal (green โฒ "L")
ใปDeath cross โ Short signal (red โผ "S")
ใ2. Higher Timeframe Trend Filterใ
Determines trend direction using a timeframe 4x larger than the current one, displayed in the top-right panel.
Example: 5-second chart references 20-second, 15-minute chart references 1-hour
ใ3. SL/TP Lines (4 lines)ใ
ใปSL1 (red): EMA cross price (average of both EMAs)
ใปSL2 (blue): Stop-loss at a set % away from SL1
ใปTP1 (orange): First take-profit target calculated by ATR ร multiplier
ใปTP2 (purple): Trailing take-profit that follows price extremes
ใ4. Break-Even Functionใ
When price reaches TP1, SL1 automatically moves to entry price (BE).
Parameter Settings
ใEMA Settingsใ
ใปFast EMA: Short-term EMA period
ใปStandard EMA: Long-term EMA period
ใRisk Management Settingsใ
ใปSL2 Offset: Offset % from SL1
ใปTP1 ATR Multiplier: TP1 = SL1 ยฑ (ATR ร this multiplier)
ใปTP2 Position Ratio: Position between SL1 and extreme price (%)
Information Panel Guide
The top-right table displays:
ใปHTF Trend: Higher timeframe trend direction (BULLISH/BEARISH)
ใปPosition: Current position status
ใปSL2/SL1/TP1/TP2: Each price level
ใปHigh/Low: Highest/lowest price during position
ใปDiff from SL1: Difference from SL1 to current price (with P&L %)
Recommended Usage
1. Taking only signals aligned with the higher timeframe trend may improve win rate
2. Use SL2 as your actual stop-loss and TP1 as your minimum profit target
3. After TP1 is reached, SL moves to BE, then trail toward TP2
---------------------------------------------------------------------------------------------------------------------
EMAใฏใญในใๅบใซใใใใฌใผใใทใฐใใซใจใ่คๆฐใฎในใใใใญใน/ๅฉ็็ขบๅฎใฉใคใณใ่ชๅ่กจ็คบใใใคใณใธใฑใผใฟใผใไธไฝ่ถณใใฌใณใใใฃใซใฟใผใๆญ่ผใใฆใพใใ
ไธปใชๆฉ่ฝ
ใ1. EMAใฏใญในใทใฐใใซใ
Fast EMA๏ผใใใฉใซใ7๏ผใจStandard EMA๏ผใใใฉใซใ16๏ผใฎใฏใญในใงใจใณใใชใผใทใฐใใซใ็ๆใใพใใ
ใปใดใผใซใใณใฏใญใน โ ใญใณใฐใทใฐใใซ๏ผ็ทใฎโฒใLใ๏ผ
ใปใใใใฏใญใน โ ใทใงใผใใทใฐใใซ๏ผ่ตคใฎโผใSใ๏ผ
ใ2. ไธไฝ่ถณใใฌใณใใใฃใซใฟใผใ
็พๅจใฎๆ้่ถณใฎ4ๅใฎไธไฝ่ถณใงใใฌใณใๆนๅใๅคๅฎใใๅณไธใใใซใซ่กจ็คบใใใพใใ
ไพ๏ผ5็ง่ถณใชใ20็ง่ถณใ15ๅ่ถณใชใ1ๆ้่ถณใๅ็
ง
ใ3. SL/TPใฉใคใณ๏ผ4ๆฌ๏ผใ
ใปSL1๏ผ่ตค๏ผ: EMAไบคๅทฎไพกๆ ผ๏ผ2ใคใฎEMAใฎๅนณๅๅค๏ผ
ใปSL2๏ผ้๏ผ: SL1ใใไธๅฎ%้ขใใในใใใใญใน
ใปTP1๏ผใชใฌใณใธ๏ผ: ATR ร ๅ็ใง่จ็ฎใใๆๅใฎๅฉ็ขบ็ฎๆจ
ใปTP2๏ผ็ดซ๏ผ: ๆฅตๅคใซ้ฃๅใใใใฌใผใชใณใฐๅฉ็ขบ
ใ4. ใใฌใผใฏใคใผใใณๆฉ่ฝใ
ไพกๆ ผใTP1ใซๅฐ้ใใใจใSL1ใ่ชๅ็ใซใจใณใใชใผไพกๆ ผ๏ผBE๏ผใซ็งปๅใใพใใ
ใใฉใกใผใฟ่จญๅฎ
ใEMA่จญๅฎใ
ใปFast EMA: ็ญๆEMAๆ้
ใปStandard EMA: ้ทๆEMAๆ้
ใใชในใฏ็ฎก็่จญๅฎใ
ใปSL2 Offset: SL1ใใใฎใชใใปใใ%
ใปTP1 ATR Multiplier: TP1 = SL1 ยฑ (ATR ร ใใฎๅ็)
ใปTP2 Position Ratio: SL1ใจๆฅตๅคใฎ้ใฎไฝ็ฝฎ๏ผ%๏ผ
ๆ
ๅ ฑใใใซใฎ่ฆๆน
ๅณไธใฎใใผใใซใซไปฅไธใ่กจ็คบใใใพใ๏ผ
ใปHTF Trend: ไธไฝ่ถณใฎใใฌใณใๆนๅ๏ผBULLISH/BEARISH๏ผ
ใปPosition: ็พๅจใฎใใธใทใงใณ็ถๆ
ใปSL2/SL1/TP1/TP2: ๅไพกๆ ผใฌใใซ
ใปHigh/Low: ใใธใทใงใณไธญใฎๆ้ซ/ๆไฝไพกๆ ผ
ใปDiff from SL1: ็พๅจไพกๆ ผใจSL1ใฎๅทฎ๏ผๆ็%่กจ็คบไปใ๏ผ
ๆจๅฅจใใใไฝฟใๆน
1. ไธไฝ่ถณใใฌใณใใจๅๆนๅใฎใทใฐใใซใฎใฟใๆก็จใใใจๅ็ใไธใใๅฏ่ฝๆงใใใใพใ
2. SL2ใๅฎ้ใฎในใใใใญในใTP1ใๆไฝๅฉ็็ฎๆจใจใใฆๆดป็จ
3. TP1ๅฐ้ๅพใฏBEใซ็งปๅใใใใใใใใฎๅพใฏTP2ใ็ฎๆใใฆใใฌใผใชใณใฐ
Combined Advanced Trading BlueprintCombined Advanced Trading Blueprint
This all-in-one institutional trading suite integrates market structure, volume analysis, and automated target projection. It is designed to find high-probability "Blueprints" by combining PVSRA (Price, Volume, Storage, Resistance, and Support) with dynamic Fibonacci and ATR-based risk management.
๐ Key Modules
1. Institutional Inflection Zones (Supply & Demand)
Identifies where major market participants are entering.
Supply & Demand: Automatically draws zones at key swing highs and lows.
IZ (Inflection Zones): Real-time labels marking the median of these zones.
BOS (Break of Structure): When a zone is breached, it transforms into a BOS line to signal trend continuation or reversal.
2. PVSRA & Vector Zones
The core of institutional volume analysis.
Climax Volume (Red/Green): Bars with volume >= 200% of average. These mark exhaustion or massive entry.
High Volume (Violet/Blue): Bars with volume >= 150% of average.
Automated Zones: The script draws boxes around these high-volume candles. Price returning to these zones often sees a sharp reaction.
3. Trader Daddy Intelligence
An automated layer for objective target setting.
Auto-Fibonacci: Dynamically calculates the current swing range and plots 0.236, 0.382, 0.5, 0.618 (Golden), 0.786, and extensions.
Volume Gaps (FVG): Detects Fair Value Gaps (FVGs) where price moved too fast. These acts as "magnets" that the market usually returns to fill.
ATR Targets: Dynamic Take Profit (TP1, TP2, TP3) and Stop Loss (SL) lines that adjust based on current market volatility.
4. Confluence Ribbon System
A multi-layered moving average and channel system.
The Ribbon: Uses 8 EMA (Red), 21 EMA (White), 34 EMA (Blue), 50 SMA (Orange), and 200 SMA (Dark Orange).
Keltner Channels: Three standard deviation bands to identify overbought/oversold conditions.
RSI Triggers: A fast 2-period RSI detects "stretches" outside the Keltner bands for precise entry timing.
VWAP: Includes anchored VWAP for Session, Weekly, and Monthly trends.
๐จ Visual Guide & Color Legend
Price Targets (Trader Daddy)
Green Dashed Lines: Take Profit levels (TP1, TP2, TP3).
Red Solid Line: ATR-based Stop Loss.
Cyan/Blue Labels: Fibonacci retracement levels. The Blue level often acts as a major institutional target or "Take Profit" area in a trending market.
Market Zones
Cyan Boxes: Active Demand (Buy) zones.
Grey/White Boxes: Active Supply (Sell) zones.
Purple/Fuchsia Areas: Vector Zones (High institutional volume).
๐ How to Trade the Blueprint
Locate the Zone: Wait for price to enter a Supply/Demand box or a Purple Vector Zone.
Check the Market State: Look at the top-right info label to see if the trend is Bullish, Bearish, or Neutral.
Wait for Confluence: Look for an 8/21 EMA crossover or an RSI "Circle" trigger near the Keltner bands.
Execute: Use the ATR-generated TP and SL lines to manage your risk automatically.
TheStockmarketStory ULTIMATEEMA/MA PIVOT POINTS all in one with supertrend and vwap with color customisations
TheStockmarketStory ULTIMATEEMA/MA PIVOT POINTS all in one with supertrend and vwap with color customisations
VIOP Scalping - OriginalVIOP Scalping โ Original is a rule-based scalping strategy ported from an original C# logic set. It aims to trade only when trend direction, momentum, and trend strength align, then manages the position using fixed take-profit/stop-loss percentages with an optional trailing mechanism to protect gains during favorable moves.
This strategy is provided for educational and backtesting purposes only. It is not financial advice and does not guarantee profitability. Always test thoroughly before any live usage.
Core Concept
Follow the dominant WMA trend, confirm momentum with EMA separation, filter conditions with RSI + ADX, then exit using fixed TP/SL with trailing behavior after a defined profit threshold.
How the Strategy Works
Trend Direction is defined by WMA: above WMA = long bias, below WMA = short bias.
Momentum is measured via Fast EMA vs Slow EMA and the EMA difference.
Trend Strength is confirmed using ADX (must exceed a threshold).
RSI filters trades to avoid entering when momentum is likely overextended or weak.
A no-trade session blocks entries during a predefined time window (default 09:30โ10:05).
Exit logic uses fixed percent TP/SL, with an optional trailing mechanism that activates after a profit threshold.
Inputs and Settings
Trend and Indicator Settings
Main Trend WMA: Determines directional bias (price above = long, price below = short).
Fast EMA / Slow EMA: Used to measure momentum and directional separation.
RSI Period: Filters entries based on RSI range constraints.
ADX Period: Measures trend strength (must exceed threshold to allow entries).
Threshold Settings
EMA Difference Threshold: Minimum EMA separation required to validate momentum.
ADX Threshold: Minimum ADX required to confirm trend strength.
RSI Long Ceiling: RSI must remain below this value for long entries.
RSI Short Floor: RSI must remain above this value for short entries.
Risk Management Settings
Take Profit %: Default TP distance in percent.
Strong Trend Take Profit %: Higher TP used when a โstrong trendโ condition is detected.
Stop Loss %: Fixed SL distance in percent.
Trailing Activation %: Profit threshold at which trailing starts.
Trailing Distance %: Trailing offset distance used once trailing is active.
Time Filter
No-Trade Hours: Default session is 09:30โ10:05. During this window, the strategy does not open new trades.
Entry Logic
No-Trade Time Filter
If the current bar falls inside the no-trade session, entries are blocked.
Long Entry Conditions
Price is above the WMA trend line.
EMA difference is positive and greater than the EMA Difference Threshold.
EMA momentum is increasing (current EMA diff > previous EMA diff).
RSI is within the defined range (RSI > 48 and RSI < RSI Long Ceiling).
Close is higher than the previous close.
ADX is above the ADX Threshold.
Short Entry Conditions
Price is below the WMA trend line.
EMA difference is negative and lower than -EMA Difference Threshold.
Bearish momentum is increasing (current EMA diff < previous EMA diff).
RSI is within the defined range (RSI < 52 and RSI > RSI Short Floor).
Close is lower than the previous close.
ADX is above the ADX Threshold.
Strong Trend Logic (Dynamic TP Selection)
If price is far from the WMA (absolute distance > 20 points) AND EMA separation is strong (absolute EMA diff > 1.5 points), the strategy treats the environment as a strong trend.
In strong trend mode, the strategy uses โStrong Trend Take Profit %โ instead of the default โTake Profit %โ.
Exit Management (TP/SL + Trailing)
The strategy uses fixed percentage-based TP and SL levels.
Trailing logic is enabled via strategy.exit and activates only after price moves in profit by the defined Trailing Activation %.
Once activated, trailing follows price using the defined Trailing Distance % offset.
This is designed to secure partial gains during extended moves while still allowing room for continuation.
What You See on the Chart
WMA Trend Line (Main Trend Filter).
Fast EMA and Slow EMA (Momentum Confirmation).
Strategy entry/exit markers generated by TradingView.
Recommended Use
Scalping systems that rely on trend-following and momentum confirmation.
Markets where ADX filtering helps avoid choppy conditions.
Traders who want a simple, parameter-driven TP/SL system with trailing after confirmation.
Important Notes
The no-trade session depends on your chart/session settings. Ensure your symbol/session configuration matches your intended market hours.
Percent-based exits scale with price; results will vary across instruments and volatility regimes.
Always validate behavior using bar replay, forward testing, and realistic commission/slippage assumptions.
VIOP Scalping - ATR SNIPERVIOP Scalping โ ATR SNIPER is a momentum-based scalping strategy designed to capture short, high-probability moves while keeping risk strictly defined using ATR-based stop-loss and fixed risk/reward targets. The strategy trades only when trend direction, momentum, and strength are aligned.
This script is provided for educational and testing purposes only. It does not guarantee profitability and must be used with proper risk management.
Core Idea
Trade in the direction of the dominant trend, confirm momentum acceleration, and manage risk using ATR-based dynamic stops and targets.
How the Strategy Works
The main trend is defined using a Weighted Moving Average (WMA).
Momentum is measured by the distance and direction between a fast EMA and a slow EMA.
Trend strength is confirmed using ADX.
RSI is used as a filter to avoid weak or overextended market conditions.
Entries are blocked during a predefined no-trade time window to avoid high-noise periods.
Long Entry Conditions
Fast EMA is above Slow EMA and the EMA difference is greater than the minimum threshold.
EMA momentum is increasing compared to the previous bar.
RSI is within the user-defined long range.
Current close is higher than the previous close.
ADX is above the minimum strength threshold.
Price is above the WMA trend line.
The current bar is not inside the no-trade session.
Short Entry Conditions
Fast EMA is below Slow EMA and the EMA difference is below the negative threshold.
Bearish EMA momentum is increasing.
RSI is within the user-defined short range.
Current close is lower than the previous close.
ADX is above the minimum strength threshold.
Price is below the WMA trend line.
The current bar is not inside the no-trade session.
Risk Management โ ATR Sniper Logic
Stop-loss distance is calculated as ATR multiplied by the ATR Multiplier.
Take-profit distance is calculated using the defined Risk/Reward ratio.
Stop-loss and take-profit levels are dynamically calculated per trade.
Only one position can be open at any given time.
What You See on the Chart
Weighted Moving Average (WMA) trend line.
Fast EMA and Slow EMA lines.
Dynamic stop-loss line during active trades.
Dynamic take-profit line during active trades.
Recommended Use
Intraday scalping on VฤฐOP instruments.
Momentum-based short-term trading.
Traders who prefer rule-based systems with strict risk control.
Always backtest and forward-test on your own instruments and timeframes before using this strategy in live markets.
AlKa mAMoving Averages
Slope of Moving Averages as Strength Factor
Always In as Strength Factor
Band of Mean with buy and sell zones, lines or highlight.
Algomist - Adaptive Velocity Cross๐ Algomist: The Adaptive Velocity Cross (AVC)
Automate Your Edge
This strategy transcends the limitations of classic Moving Average (MA) crossovers. The Adaptive Velocity Cross (AVC) is a state-of-the-art trend-following system designed for automated execution, filtering out low-probability whipsaws and prioritizing high-momentum breakouts in volatile markets.
It's not just a signal generator; it's a fully automated, risk-managed trading plan that delivers structured trade signals directly to your Algomist account.
๐ฅ Key Features & Technology
Adaptive Hull Moving Averages (HMA): Utilizes the Hull MA to significantly reduce lag compared to standard EMAs and SMAs. The faster and slower HMAs provide a highly responsive gauge of short-term and medium-term trend direction.
Multi-Layer Volatility Filtering: Trades are strictly prohibited during flat, low-volatility market conditions.
Current Timeframe Filter (ATRMinFilter): Ensures trades only fire when current market momentum is strong enough to carry the trend.
Higher Timeframe Filter: Checks the ATR on a higher timeframe (e.g., 1H) to confirm the structural trend strength, preventing entries during tight squeezes.
Visual Trend Velocity: The space between the Fast (Blue) and Slow (Pink) HMAs is colored and filled, providing an immediate visual cue for trend direction and strength (width of the band).
Asymmetric Risk Management: Uses the dynamic Average True Range (ATR) to calculate Stop Loss and Take Profit levels, ensuring risk and reward are proportional to current market volatility.
โ๏ธ How It Works (The Logic)
The AVC only executes a trade when all three high-conviction criteria are met:
Trend Signal: The Fast $\text{HMA}$ crosses the Slow $\text{HMA}$ (Crossover).
Volatile Market Confirmation: The market must be sufficiently volatile on both the current timeframe and the higher structural timeframe ($\text{ATR}$ filters passed).
Risk Management: A defined $\text{SL}$ (Stop Loss) and $\text{TP}$ (Take Profit) are calculated based on the current market $\text{ATR}$ to manage the position before entry.
๐ค Automation Ready
The strategy is built with automation as the priority. Upon a confirmed entry, the script sends a cleanly formatted JSON string via a TradingView Webhook alert to Algomist. Create your account and get your own web hook @ www.algomist.app
Example Alert Output:
{
"symbol": "ETHUSDC",
"side": "LONG",
"entry_price": 67500.0,
"stop_loss": 66000.0,
"take_profit": 70000.0,
"timestamp": 1766715660462
}
This signal is ready for immediate consumption by your Algomist execution engine, ensuring lightning-fast and error-free order placement.
๐ Recommended Use
Asset Class: Highly effective on high-liquidity, high-volatility assets (e.g., Crypto Majors, Forex Pairs, Indices).
Timeframes: Works best on 1m to 15 min charts.
Risk Profile: Medium-to-High frequency trend-following system.
Disclaimer: The strategy code provided is for informational and educational purposes. Past performance is not indicative of future results. Always backtest and forward-test any automated strategy extensively before using real capital.
Moving Averages Lens - Algoat_Alpha// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
// โ Algoat_Alpha || TREND SYSTEM v2.0 โ
// โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
โ INTRODUCTION
Welcome to the Algoat_Alpha MA Lens.
Moving Averages are the backbone of technical analysis, but a cluttered chart with random lines is useless. We built the MA Lens to strip away the noise and tell you exactly who is controlling the market.
This is not just a set of lines; it is an educational overlay that helps you understand market psychology at a glanceโfrom high-frequency scalpers to long-term institutional investors.
โ WHAT DOES IT DO?
The MA Lens projects 6 key institutional moving averages onto your chart with zero configuration required. It color-codes the market structure, provides Smart Tooltips for education, and includes a built-in Alert System so you never miss a move.
โ KEY FEATURES
1. ๐ง Smart Tooltips (Interactive Learning) Hover over any label to see exactly what that Moving Average represents.
Example: Hover over the MA 10 to see "The Scalper's Pulse" โ identifying high-frequency liquidity zones.
Understand why price is reacting at specific levels, rather than just guessing.
2. ๐ Integrated Alert System Stop staring at the screen. We have included robust alert functionality directly in the script.
Crossover Alerts: Get notified instantly when price crosses key institutional levels (like the 200 MA).
Momentum Shifts: Set alerts for when short-term trends (MA 10/20) realign, allowing you to catch the breakout early.
3. ๐ฏ The "Lens" View (6-Layer Analysis) We automatically plot the most respected levels in trading:
MA 10 & 20: Short-term momentum (Scalpers & Day Traders).
MA 50: The "Swing Trader's Line."
MA 100, 150, 200: Major institutional support/resistance zones.
โ HOW TO USE
Add to Chart: Apply the script to any timeframe.
Read the Trend:
If price is above the Yellow/Red lines (MA 150/200), the long-term trend is Bullish.
If price is holding the Blue/Green lines (MA 10/20), momentum is strong.
Set Alerts:
Click the "Alert" button in TradingView, select this indicator, and choose your preferred condition (e.g., "Price Crossing MA 200") to get notified on your phone or desktop.
โ BOOST & SHARE






















