🟡🔵🟢🔴Beginner's Assistant by carljchapman🟡🔵🟢🔴
Overview
This indicator dynamically marks highs and lows of the premarket (4:00am-9:30amEST) and opening range. It displays Fair Value Gaps, 9 and 21 period Exponential Moving Averages (EMA) and the Volume Weighted Average Price (VWAP). To really help beginners, it marks suggested entry points on the chart with green or red triangles, when a reasonable trend appears.
Features
Automatically draws blue lines for Premarket High and Low values
Dynamically marks the opening Range region
Visual entry signals for long and short opportunities
Primarily used for stocks/funds , but works with forex and crypto
Quick configuration settings to tailor details for your experience level
Mobile friendly mode
Supports alerts
How To Use
Open your chart, and select a 1 or 2 minute timeframe.
Watch for green triangles and red triangles, hinting at entries for long or short positions. Pay particular attention to the price action as it approaches the bounds of the opening range and the premarket levels. I suggest also using a MACD indicator for confirmation of the trend.
For scalping 0dte Options, switch frequently between the 1 ,2 and 5 minute or higher timeframes. Do this so you will not miss an entry opportunity or be unaware of the overall trend.
As a beginner, until you have refined your strategy and develop risk management, take profits as low as 10%. A small profit can quickly become a much larger loss. With 0dte options, time will devour your profits even when the price doesn’t budge.
What makes this indicator so beginner friendly?
Charts with too many lines and colors are are a nightmare for beginners! And empty charts do not tell the whole story. Simple checkboxes in the configuration settings let you turn on and off features to match your comfort level. As you become more familiar you might try turning off the suggested entries to see if you would have selected the same or better ones yourself. Just one example of how you will learn and verify your knowledge. You will quickly spot Opening Range Breakouts and more.
Why are the triangle pointers not simply above or below the bars?
As a beginner, I like to review charts to see how much the price changed, then estimate how much a contract would move based on its delta. A mouthful, I know. But what price does an arrow pointing up below a bar reflect? Would I have entered at the open or close, low or high? This indicator helps by putting the marker close to the price when indicated. It can even display the actual price on the bar. This is helpful for you to make fast calculations without a measuring tool.
I am an experienced trader. Can this help me make winning trades?
Sure. It can also help you make losing ones! Profit is not guaranteed with any indicator or strategy. This indicator is designed to assist you as you learn and while you trade. You won't see the words BUY or SELL. This is not a signal bot! It is merely a tool to assist you. You can learn a lot by spending time observing price movement using this indicator without ever making a single trade.
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Options
SomaAstra V1.2SomaAstra v1.2 desinged for Option Sellers, This indicator takes into consideration EMA, MACD, RSI and triggers buy and sell alerts and also gives alerts to hold on the positons when the price goes in the direction of trade. Logic can be customized for different time frames and parameters of EMA, MACD and RSI can be changed in settings.
For more details, Please send direct message X x.com
SomaAstra V1.2SomaAstra v1.2 desinged for Option Sellers, This indicator takes into consideration EMA, MACD, RSI and triggers buy and sell signals and also gives indications to hold on the positons when the price goes in the direction of alert signal. Logic can be custimized for different time frames and parameters of EMA, MACD and RSI can be changed in settings.
Ayman Entry Signal – With HTF + Pin Bar
A professional and versatile trading indicator combining classic technical analysis with Smart Money Concepts to detect high-probability entry points.
Designed especially for scalping gold and forex pairs on lower timeframes. Fully customizable to suit any trading style.
✅ Key Features:
EMA Trend Confirmation
Break of Structure (BoS) Detection
Order Block Zone Recognition
Fair Value Gap (FVG) Confirmation
Liquidity Sweep Detection
Pin Bar Candlestick Confirmation
Higher Timeframe Confirmation (HTF EMA + HTF BoS)
🎯 Smart Risk Management:
Automatically calculates Stop Loss (SL) and Take Profit (TP) based on the selected timeframe.
Dynamically adjusts lot size based on account capital and risk percentage.
📈 How It Works:
The indicator triggers a Buy or Sell signal only when a selected set of conditions are met, including:
Trend direction (EMA crossover)
Break of structure
Presence within strong supply/demand zones
Confirmation from higher timeframe
Reversal Pin Bar pattern
🛎 Alerts:
Built-in alert system notifies you instantly when a valid Buy or Sell signal is triggered.
⚙️ Customizable Settings:
Risk Percentage
Capital Size
HTF timeframe
Enable/Disable individual filters (EMA, BoS, OB, FVG, Liquidity, Pin Bar, HTF)
📌 Best Timeframes:
1-min, 5-min, and 15-min – especially during high-volume sessions like London or New York.
🔸 Note:
This is not financial advice. Always backtest and use manual confirmations before live trading.
aiTrendview-OPTION-KING + OI Summary Pro📊 aiTrendview OPTION TRADING SYSTEM - Complete Analysis Guide
🎯 System Overview
The aiTrendview Option Trading System is a comprehensive, institutional-grade trading dashboard that combines Supertrend signals, volume analysis, options flow data, and risk management into a unified trading interface. It's designed to provide traders with complete market intelligence for making high-probability, risk-managed trades.
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🎛️ INPUT PARAMETERS & CONFIGURATION
Supertrend Settings
• ATR Period (6): Shorter period = more sensitive signals
• ATR Multiplier (10.0): Higher value = fewer but stronger signals
• Purpose: Filters market noise and identifies trend changes
• Trading Benefit: Reduces false signals while capturing major moves
Risk Management Parameters
• Stoploss % (20%): Maximum risk per trade
• Target 1 % (10%): First profit target - quick scalp
• Target 2 % (20%): Second target - trend continuation
• Target 3 % (30%): Final target - maximum profit potential
• Risk-Reward Calculation: Automatic 1:1.5 minimum ratio
Table Customization
• Position: 6 locations (Top/Bottom + Left/Center/Right)
• Size: Small/Normal/Large for different screen setups
• Show/Hide: Toggle table visibility
• Purpose: Optimal screen real estate usage without blocking price action
Options Flow Simulation
• OI Current Hour (500): Simulated current hour Open Interest
• OI Previous Hour (480): Previous hour OI for trend analysis
• ATM Offset (50): Strike price rounding (50-point intervals)
• Purpose: Tracks institutional money flow and positioning
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📊 COMPREHENSIVE DASHBOARD SECTIONS
Section 1: TRADING SIGNALS
This is the core decision-making section providing complete trade setup information.
Signal Generation
• Buy Signal: Price crosses above Supertrend + volume confirmation
• Sell Signal: Price crosses below Supertrend + volume confirmation
• Wait Signal: No clear trend direction or conflicting signals
• Color Coding: Green (Buy), Red (Sell), Gray (Wait)
Complete Trade Setup
• Entry Price: Exact entry level based on signal
• Stoploss: Pre-calculated risk management level
• Target 1 (10%): Quick profit booking level
• Target 2 (20%): Trend continuation target
• Target 3 (30%): Maximum profit potential
• R:R Ratio: Risk-to-reward calculation (minimum 1:1.5)
Momentum Confirmation
• Accumulate: RSI < 30 (oversold, buying opportunity)
• Distribution: RSI > 70 (overbought, selling pressure)
• Neutral: RSI 30-70 (balanced conditions)
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Section 2: VOLUME ANALYSIS
Critical for confirming signal strength and institutional participation.
Volume Metrics
• Current Volume: Real-time trading activity
• Volume MA (20-period): Average volume baseline
• Volume Ratio: Current vs. average (1.5x+ = high activity)
• Volume Progress: Daily volume completion percentage
• Color Coding: Blue (high), Gray (normal), Red (low)
Volume Interpretation
• > 2.0x Ratio: Institutional participation, strong signals
• 1.5-2.0x Ratio: Above average activity, good confirmation
• 1.0-1.5x Ratio: Normal activity, standard signals
• < 1.0x Ratio: Low participation, weak signals
Live Profit Tracking
• Real-time P&L: Current position profit/loss
• Color Coding: Green (profit), Red (loss), Black (breakeven)
• Percentage Display: Easy risk assessment
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Section 3: OPTIONS & MARKET DATA
Advanced options flow analysis for institutional insight.
ATM Strike Analysis
• ATM Strike: At-the-money option strike (rounded to nearest 50)
• Purpose: Primary battleground for bulls vs. bears
• Significance: Highest gamma and most liquid options
Put/Call Volume Analysis
• Put Volume: Bearish positioning volume
• Call Volume: Bullish positioning volume
• Color Coding: Red (puts), Green (calls)
• Interpretation: Directional bias of smart money
PCR (Put Call Ratio)
• Calculation: Put Volume ÷ Call Volume
• Bullish: PCR < 0.8 (more calls than puts)
• Bearish: PCR > 1.2 (more puts than calls)
• Neutral: PCR 0.8-1.2 (balanced positioning)
• Contrarian Indicator: Extreme readings often reverse
OI Trend Analysis (Advanced Smart Money Tracking)
The system analyzes Open Interest changes vs. price movement:
• Long Buildup: ↑OI + ↑Price (Bulls adding positions)
• Short Buildup: ↑OI + ↓Price (Bears adding positions)
• Long Unwinding: ↓OI + ↓Price (Bulls exiting)
• Short Covering: ↓OI + ↑Price (Bears covering)
• Long Accumulation: ↑OI + Flat Price (Institutional accumulation)
• Bearish Weakness: ↓OI + Flat Price (Losing interest)
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Section 4: MARKET CONTEXT
Additional confirmation indicators for complete market picture.
PDC (Previous Day Close) Analysis
• Bullish: Current price > Previous day high
• Bearish: Current price < Previous day low
• Neutral: Price within previous day range
• Significance: Breakout/breakdown confirmation
LTP (Last Traded Price)
• Real-time Price: Current market price
• Reference Point: For all calculations and targets
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🎯 ACHIEVING RISK-OPTIMIZED TRADING
High Probability Setup Identification
Perfect Buy Setup (90%+ Success Rate)
1. Signal: Buy signal generated
2. Volume: Ratio > 1.5x (institutional participation)
3. Momentum: RSI in accumulation zone (< 40)
4. Options Flow: PCR < 0.8 (bullish positioning)
5. OI Trend: Long Buildup or Short Covering
6. PDC: Price > Previous day high
7. R:R Ratio: Minimum 1:2
Perfect Sell Setup (90%+ Success Rate)
1. Signal: Sell signal generated
2. Volume: Ratio > 1.5x (institutional participation)
3. Momentum: RSI in distribution zone (> 60)
4. Options Flow: PCR > 1.2 (bearish positioning)
5. OI Trend: Short Buildup or Long Unwinding
6. PDC: Price < Previous day low
7. R:R Ratio: Minimum 1:2
Risk Management Protocol
Position Sizing
• High Confidence (6+ confirmations): 2% risk per trade
• Medium Confidence (4-5 confirmations): 1% risk per trade
• Low Confidence (< 4 confirmations): Avoid or 0.5% risk
Entry Rules
• Never enter without Supertrend signal
• Wait for volume confirmation (>1.2x ratio)
• Check options flow alignment
• Ensure R:R ratio > 1:1.5
Exit Strategy
• Target 1 (10%): Book 1/3 position (covers commissions)
• Target 2 (20%): Book 1/3 position (secures profit)
• Target 3 (30%): Let remainder run with trailing stop
• Stoploss: Hard stop at 20% loss (non-negotiable)
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📊 ADVANCED INTERPRETATION GUIDE
Volume Analysis Mastery
• Volume Spike + Buy Signal: High probability long setup
• Volume Decline + Sell Signal: Trend exhaustion, reversal likely
• High Volume + Neutral Signal: Wait for direction
• Low Volume + Any Signal: Weak setup, reduce size
Options Flow Intelligence
• PCR Divergence: When PCR contradicts price action (reversal setup)
• OI Buildup Confirmation: Aligns with Supertrend direction
• ATM Strike Defense: Price holding above/below ATM = strong level
Multi-Timeframe Confirmation
• 15-min Supertrend: Entry timing
• 1-hour Volume: Trend strength
• Daily PDC: Breakout confirmation
• Options Flow: Institutional positioning
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🛡️ RISK-FREE TRADING METHODOLOGY
The 6-Point Confirmation System
Only trade when ALL 6 conditions align:
1. ✅ Supertrend Signal: Clear buy/sell signal
2. ✅ Volume Confirmation: Ratio > 1.5x
3. ✅ Momentum Alignment: RSI in favorable zone
4. ✅ Options Flow: PCR supporting direction
5. ✅ OI Trend: Institutional money aligned
6. ✅ Risk-Reward: Minimum 1:2 ratio
Position Management Rules
• Scale Out: Take profits at predetermined levels
• Trail Stops: Move stops to breakeven after Target 1
• Risk Limits: Never risk more than 2% per trade
• Daily Limits: Stop trading after 3 consecutive losses
Market Condition Adaptation
• Trending Markets: Use all 3 targets, trail stops
• Range Markets: Take profits at Target 1-2
• High Volatility: Reduce position size by 50%
• Low Volatility: Increase position size (within limits)
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📈 PERFORMANCE OPTIMIZATION
Win Rate Enhancement
• Wait for 5+ confirmations: 80%+ win rate
• Use volume confirmation: Eliminates 60% of false signals
• Respect OI trends: Institutional money rarely wrong
• Follow options flow: Smart money positioning
Risk Reduction Techniques
• Pre-defined stops: No emotional decisions
• Position sizing: Mathematical risk management
• Market context: Don't fight the trend
• Time-based exits: Close before major events
Profit Maximization
• Scale out gradually: Capture trend moves
• Trail stops effectively: Let winners run
• Re-enter on pullbacks: Multiple entries in trends
• Compound gains: Reinvest profits systematically
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🎯 ALERT SYSTEM INTEGRATION
Automated Alerts
• Buy/Sell Signals: Instant notification of Supertrend crosses
• Volume Spikes: When ratio exceeds 2x
• Profit Targets: 5% and 10% profit notifications
• Risk Management: Stop loss approach warnings
Mobile Integration
• Push Notifications: Never miss a setup
• Email Alerts: Backup notification system
• SMS Options: Critical signal delivery
• Discord/Telegram: Community sharing
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💡 PROFESSIONAL TRADING INSIGHTS
Market Maker Psychology
• OI Buildup: Shows where institutions are positioned
• Volume Spikes: Institutional order flow
• PCR Extremes: Contrarian opportunities
• ATM Defense: Key support/resistance levels
Timing Optimization
• Best Setup Times: 10:00-11:30 AM and 2:30-3:15 PM
• Avoid: First 15 minutes and last 15 minutes
• Event Risk: Close positions before major announcements
• Weekend Risk: Avoid Friday afternoon entries
Advanced Strategies
• Fade False Breakouts: When volume doesn't confirm
• Ride Institutional Waves: Follow OI trends
• Contrarian Plays: Extreme PCR readings
• Momentum Continuation: Strong volume + trend alignment
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The aiTrendview Option Trading System transforms complex market analysis into actionable trading decisions through systematic risk management, institutional flow analysis, and high-probability signal generation. By following the 6-point confirmation system and strict risk management rules, traders can achieve consistent profitability while minimizing drawdowns.
🎯 QuantSignals AI VWAP Pro🎯 QuantSignals AI VWAP Pro — Trade Like Institutions with AI Precision
📌 Description:
QuantSignals AI VWAP Pro is your edge in the markets — a professional-grade VWAP toolkit enhanced with AI signal generation, dynamic volume analysis, institutional band tracking, and real-time dashboards.
Built for day traders, swing traders, and institutions, this limited free version delivers intelligent entries & exits with AI-enhanced VWAP signals.
🚨 Want more? Full source code, premium indicators, and hedge-fund-grade VWAP tools are available in the QuantSignals Discord community!
🌟 Key Features:
✅ AI-Powered VWAP Signals
→ High-probability BUY/SELL alerts based on smart volume + trend filters.
✅ Dynamic VWAP Bands
→ Adaptive upper/lower bands based on real-time volatility & institutional volume.
✅ Multi-Timeframe VWAP (MTF)
→ View weekly & monthly VWAP levels used by pros (toggleable).
✅ Live QS Dashboard
→ Displays signal strength, VWAP distance %, volume context & price stats.
✅ Smart Alerts System
→ Instantly alerts for VWAP crossovers, band breaks, and institutional moves.
✅ Polished Chart Experience
→ Minimal clutter, modern visuals, premium color scheme, optimized UX.
🔐 Limited Free Version Includes:
AI Signal Engine (basic version)
Institutional Band Levels
Live Dashboard
3 Types of VWAP Alerts
Clean Entry/Exit Plots
💎 Premium Version (in Discord):
Full Source Code
Institutional VWAP Models
Real-Time Volume Sentiment Engine
Multi-Asset VWAP Correlation
Automated Strategy Support
Pro Backtesting Templates
Full QS Indicator Suite
Discord Trade Rooms + Coaching
💬 Who Uses This?
QuantSignals VWAP tools are used by hedge funds, quant traders, and pro retail traders worldwide.
🔗 Join the #1 AI Trading Community:
🌐 Website: quantsignals.xyz
💬 Discord: discord.gg
📢 Setup Instructions:
Add to chart ✅
Toggle on signals, bands, and dashboard 📈
Set alert conditions for key events 🔔
Use with volume + price action context
Want the full suite? Join us in Discord 💎
🚀 Trade Smarter. Trade Faster. Trade with AI.
"Retail uses moving averages. Institutions use VWAP. We use AI + VWAP."
aiTrendview.com Option Calculator📊 aiTrendview Option Calculator - Complete Feature Guide
🎯 Overview
The aiTrendview Option Calculator is a comprehensive, professional-grade options trading dashboard that integrates live market data with advanced Black-Scholes pricing models and intelligent strategy recommendations. It transforms complex options analysis into an intuitive, visual interface for both novice and professional traders.
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🎛️ Dashboard Settings & Customization
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📋 Option Inputs - The Foundation
Strike Price (105 in example)
• Function: The contract's exercise price
• Analysis Impact: Determines moneyness (ITM/OTM status)
• Risk Assessment: Affects delta, probability of profit, and breakeven calculations
• Strategy Selection: Critical for spread strategies and risk/reward optimization
Days to Expiry (30 in example)
• Function: Time until option expiration
• Analysis Impact: Drives time decay (theta) calculations
• Risk Assessment: More days = higher time value but slower decay
• Strategy Selection: Short-term strategies favor <30 days, long-term >45 days
Risk Free Rate (5% in example)
• Function: Current treasury rate for theoretical pricing
• Analysis Impact: Affects all Greeks calculations and fair value pricing
• Risk Assessment: Higher rates increase call values, decrease put values
• Strategy Selection: Impacts carry strategies and early exercise decisions
Implied Volatility (25% in example)
• Function: Market's expectation of future price movement
• Analysis Impact: Primary driver of option premium
• Risk Assessment: High IV = expensive options, low IV = cheap options
• Strategy Selection: Determines whether to buy or sell premium
Option Type (Call/Put)
• Function: Directional bias selection
• Analysis Impact: Reverses delta sign and profit zones
• Risk Assessment: Calls profit from upward moves, puts from downward moves
• Strategy Selection: Foundation for all directional and neutral strategies
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📊 Live Market Data Integration
Real-Time Price Feed
• Current Underlying Price: Live market price with percentage change
• Volume Analysis: Current volume vs. 20-day average (shows as multiplier like "1.5x")
• Price Momentum: Tracks intraday price movements
• Volatility Assessment: Uses VIX data or ATR-based calculations
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🔢 The Greeks - Risk Metrics
Delta (Price Sensitivity)
• Range: -1.00 to +1.00
• Call Delta: 0 to +1 (positive exposure)
• Put Delta: -1 to 0 (negative exposure)
• Trading Use: Hedge ratio, directional exposure measurement
• Progress Bar: Visual representation of sensitivity strength
Gamma (Delta Acceleration)
• Function: Rate of delta change
• Peak: Highest at-the-money
• Trading Use: Risk management for large moves
• Display: Multiplied by 1000 for readability
Theta (Time Decay)
• Function: Daily premium erosion
• Always Negative: For long positions
• Trading Use: Time-based strategy selection
• Critical: Accelerates in final 30 days
Vega (Volatility Sensitivity)
• Function: Premium change per 1% IV change
• Trading Use: Volatility play strategies
• Risk Management: IV crush protection
• Strategy Selection: Buy low IV, sell high IV
Rho (Interest Rate Sensitivity)
• Function: Premium change per 1% rate change
• Less Critical: For short-term options
• Important: For LEAPS and rate-sensitive underlyings
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📈 Market Analysis Section
Sentiment Analysis
• Bullish: PCR < 0.8 (more calls than puts)
• Bearish: PCR > 1.2 (more puts than calls)
• Neutral: PCR 0.8-1.2 (balanced activity)
• Calculation: Based on volume ratio and RSI momentum
Volume Analysis
• Current vs. Average: Spots unusual activity
• Ratio Display: Shows volume multiplier (e.g., "2.3x normal")
• Trading Signal: High volume confirms moves, low volume suggests consolidation
Risk Level Assessment
• Low: IV < 25% (cheap options)
• Medium: IV 25-40% (fairly valued)
• High: IV > 40% (expensive options)
• Color Coded: Green/Yellow/Red for quick identification
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⚡ Strategy Recommendation Engine
Intelligent Analysis
The calculator analyzes 6 core strategies based on current market conditions:
1. Long Call: Best for bullish sentiment + low IV
2. Short Put: Best for bullish sentiment + high IV
3. Long Put: Best for bearish sentiment + low IV
4. Bull Call Spread: Best for moderate bullish moves
5. Long Straddle: Best for high volatility expected + low IV
6. Iron Butterfly: Best for neutral sentiment + high IV + low expected move
Scoring System
• Confidence Score: 0-100% based on market conditions
• Color Coding: Green (80%+), Yellow (60-80%), Red (<60%)
• Dynamic Updates: Recalculates with every price change
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📊 Progress Bar Visualizations
Delta Strength: Visual representation of directional exposure
Time Decay: Days remaining until expiration
IV Level: Current implied volatility relative to extremes
Volume Activity: Current volume vs. historical average
Profit Probability: Calculated odds of profitable outcome
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🎯 How to Achieve Risk-Optimized Trading
Step 1: Market Analysis
1. Check Sentiment: Is market bullish, bearish, or neutral?
2. Assess IV Level: Are options cheap, fair, or expensive?
3. Volume Confirmation: Is there institutional interest?
4. Time Frame: How many days until expiration?
Step 2: Strategy Selection
The calculator automatically recommends the highest probability strategy based on:
• Current market sentiment
• IV environment
• Expected move percentage
• Time to expiration
• Risk/reward optimization
Step 3: Risk Management Setup
For Long Strategies (Buying Options)
• Best When: IV rank is low (green), high probability score
• Risk Control: Maximum loss is premium paid
• Time Management: Avoid last 2 weeks before expiration
• Profit Taking: Close at 50% profit or 25% time decay
For Short Strategies (Selling Options)
• Best When: IV rank is high (red), neutral sentiment
• Risk Control: Use defined risk spreads
• Time Advantage: Target last 45 days
• Profit Taking: Close at 50% max profit
For Neutral Strategies
• Best When: Low expected move + high IV
• Risk Management: Iron butterflies and condors
• Time Decay: Benefits from theta decay
• Adjustment: Have roll/adjust plan ready
Step 4: Execution Guidelines
High Confidence Trades (80%+ Score)
• Position Size: Standard risk allocation
• Entry: Immediate execution
• Management: Hold to target or 21 DTE
Medium Confidence Trades (60-80% Score)
• Position Size: Reduced allocation
• Entry: Wait for better setup or confirmation
• Management: Tighter profit/loss targets
Low Confidence Trades (<60% Score)
• Action: Avoid or wait for better conditions
• Alternative: Consider opposite strategy
• Patience: Wait for higher probability setup
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🔍 Real-Time Risk Monitoring
Live Greeks Tracking
• Delta Neutral: Maintain overall portfolio delta near zero
• Gamma Risk: Monitor acceleration risk on large moves
• Theta Decay: Track daily time value erosion
• Vega Exposure: Hedge volatility risk when needed
Probability Metrics
• Profit Probability: Statistical odds of profitable outcome
• Expected Move: Price range for 68% probability
• Breakeven Analysis: Exact price needed for profitability
• Time Value: Separation of intrinsic vs. extrinsic value
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💡 Professional Trading Tips
Market Environment Adaptation
• Low IV Environment: Buy straddles, strangles, long options
• High IV Environment: Sell premium, iron condors, credit spreads
• Trending Markets: Directional strategies with trend
• Range-Bound Markets: Neutral strategies, short premium
Risk Management Rules
1. Never risk more than 2% of capital per trade
2. Close losing trades at 2x premium received (short) or 50% loss (long)
3. Take profits at 50% of maximum potential
4. Avoid earnings announcements unless specifically trading volatility
5. Have exit plan before entry
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🎯 Achieving "Risk-Free" Trading
While no trading is truly risk-free, the calculator helps minimize risk through:
High Probability Setups
• Only trade strategies with 70%+ confidence scores
• Confirm with multiple indicators (sentiment, IV, volume)
• Use proper position sizing
Statistical Edge
• Mean reversion strategies in extreme IV environments
• Time decay advantages in short premium strategies
• Probability-based position sizing
Risk Mitigation
• Defined risk strategies only
• Proper diversification across time and strikes
• Systematic profit taking and loss cutting
• Continuous monitoring and adjustment
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📊 Dashboard Interpretation Guide
Green Signals (Go)
• High strategy confidence score
• Favorable IV environment for strategy
• Strong volume confirmation
• Clear directional bias
Yellow Signals (Caution)
• Medium confidence scores
• Mixed market signals
• Average volume activity
• Reduce position size
Red Signals (Stop)
• Low confidence scores
• Unfavorable conditions
• Low volume/poor liquidity
• Wait for better setup
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The aiTrendview Option Calculator transforms complex options analysis into actionable trading intelligence, helping traders make informed decisions based on mathematical models, live market data, and statistical probabilities rather than emotions or guesswork.
Mental Reminder# Mental Reminder - Trading Psychology Overlay
## 🧠 Why This Indicator Matters
Trading success isn't just about technical analysis - it's about psychology. The biggest enemy of profitable trading is often our own emotions and impulses. This indicator serves as your constant mental anchor, displaying personalized reminders that keep you focused on what truly matters.
## 💡 Core Purpose
**Combat Emotional Trading**
Every trader knows the feeling - you see a price movement and your emotions take over. This overlay keeps your trading rules and mindset visible at all times, acting as a psychological brake against impulsive decisions.
**Reinforce Discipline**
Whether it's "Wait for confirmation", "Risk management first", or "The market will always be here tomorrow" - having your key principles constantly visible helps internalize good trading habits.
**Maintain Patience**
In a world of instant gratification, successful trading requires patience. A simple "Let the setup come to you" reminder can prevent countless premature entries and exits.
## 🎯 Real Trading Applications
- **Pre-market reminder**: "Review your plan" before market open
- **During drawdowns**: "Trust the process" or "Losses are part of the game"
- **In volatile markets**: "Stay calm" or "Stick to your strategy"
- **During winning streaks**: "Don't get overconfident" or "Risk management still matters"
- **FOMO moments**: "There will always be another trade"
## 🔄 The Psychology Behind Visual Reminders
Studies show that visual cues are more effective than trying to remember rules mentally. When you're in the heat of trading, emotions can cloud judgment. A constant visual reminder cuts through the emotional noise and brings you back to your planned approach.
**Why Fixed Position Works**
Unlike annotations that move with price, this reminder stays in your peripheral vision - always there, never intrusive, but impossible to ignore when you need it most.
Your trading edge isn't just your strategy - it's your ability to execute it consistently. This simple tool helps bridge the gap between knowing what to do and actually doing it.
🟡🔵🟢🔴Beginner's Assistant by carljchapman🟡🔵🟢🔴
Overview
This indicator dynamically marks highs and lows of the premarket (4:00am-9:30amEST) and opening range. It displays Fair Value Gaps, 9 and 21 period Exponential Moving Averages (EMA) and the Volume Weighted Average Price (VWAP). To really help beginners, it marks suggested entry points on the chart with green or red triangles, when a reasonable trend appears.
Features
Automatically draws blue lines for Premarket High and Low values
Dynamically marks the opening Range region
Visual entry signals for long and short opportunities
Primarily used for stocks/funds , but works with forex and crypto
Quick configuration settings to tailor details for your experience level
Mobile friendly mode
Supports alerts
How To Use
Open your chart, and select a 1 or 2 minute timeframe.
Watch for green triangles and red triangles, hinting at entries for long or short positions. Pay particular attention to the price action as it approaches the bounds of the opening range and the premarket levels. As with any indicator, confirmation is helpful. I personally use MACD to confirm the direction of each probable trend.
For scalping 0dte contracts: You should switch very often between 1 and 2 min timeframes and look carefully for quality entry opportunities. TP (take profit) quickly with gains of 15% or more until you develop and refine your own strategy and risk management. Beginners like to see profit; just remember that a small profit is better than what could quickly become a large loss!
What makes this indicator so beginner friendly?
Charts with too many lines and colors are are a nightmare for beginners! And empty charts do not tell the whole story. Simple checkboxes in the configuration settings let you turn on and off features to match your comfort level. As you become more familiar you might try turning off the suggested entries to see if you would have selected the same or better ones yourself. Just one example of how you will learn and verify your knowledge. You will quickly spot Opening Range Breakouts and more.
Why are the triangle pointers not simply above or below the bars?
As a beginner, I like to review charts and see how much the price changed, to estimate how much a contract would move based on its delta. A mouthful, I know. But what price does an arrow pointing up below a bar reflect? Would I have entered at the open or close, low or high? This indicator helps by putting the marker close to the price when indicated. It can even display the actual price on the bar. This is helpful for you to make fast calculations without a measuring tool.
I am an experienced trader. Can this help me make winning trades?
Sure. It can also help you make losing trades! Profit is never guaranteed with any indicator or strategy. This indicator is designed to assist as you learn and trade. You won't see the words BUY or SELL. This is not a signal bot! It is merely a tool to assist you. You can learn a lot by just observing price movement while using this indicator without making a single trade.
🟡🔵🟢🔴
PM20/40/100/200 by Emprendetica📊 PM20/40/100/200 – Custom Moving Averages by Emprendetica
This indicator plots four simple moving averages (SMA): 20, 40, 100, and 200 periods. It’s designed for multi-timeframe traders who need quick and clear visualization of momentum and structural alignment across intraday and daily charts.
✅ Ideal for:
Detecting breakout readiness
Confirming trend strength (e.g., PM20 > PM40, PM100 > PM200)
Monitoring price structure with consistent dynamic support/resistance
📌 Created by Isaías Espinoza and the Emprendetica team.
🌐 More tools at: emprendetica.com
Strike Implied Volatility based on Option PricesStrike Implied Volatility based on Option Prices (All NSE F&O Indices and Stocks)
The indicator calculates the Implied Volatility (IV) for a manually selected strike (ATM or Otherwise) and expiry date using the Black-Scholes model.
It is designed to work on any underlying chart (e.g., NIFTY, BANKNIFTY, SENSEX, or F&O stocks) by requesting the relevant option prices in the background, and allows traders to analyze the IV behavior of a specific strike over time.
Key Features:
1. Works on Underlying Chart:
Apply the indicator on the underlying (e.g., NIFTY, BANKNIFTY, FINNIFTY, etc.) — it will automatically construct the correct option symbols (CE and PE) based on the strike and expiry and fetch real-time option prices.
2. IV Calculation:
Calculates Call IV (green), Put IV (red), and their average (blue) using option prices.
3. Status Line Display:
Displays the IVs, strike, option prices in the status line for easy viewing.
Inputs:
1. Enter Strike (Mandatory): Strike price of the option you wish to analyze.
2. Expiry Date (Mandatory): Full expiry timestamp. Time by default to 15:30 IST on expiry day.
3. Risk Free Rate (%): Default is 7.00% - typically based on prevailing bond yields.
4. Dividend Yield (%): Default is 0.00% - adjust if underlying pays dividends.
Plots:
1. Call IV – Green
2. Put IV – Red
3. Avg IV – Blue
4. Call & Put Option Prices – Shown in status line only
Disclaimer:
This indicator is provided for educational and informational purposes only and is not intended as financial advice, investment recommendation, or trading signal. Options trading involves significant risk of loss and is not suitable for all investors. The calculations rely on the Black-Scholes model, which assumes constant volatility, no dividends (unless specified), and other simplifications that may not reflect real market conditions. Always verify data accuracy, consult a financial advisor, and use at your own risk. The author assumes no liability for any losses incurred.
Institutional Order Block Indicator [IOB] + Buy/Sell Signals✅ Institutional Order Block detection
✅ Buy/Sell EMA crossover indicator
✅ Combined visuals (order block boxes + BUY/SELL labels)
✅ Alerts for both order blocks and signals
Buy Price Marker
This indicator allows you to set a custom buy price level on the chart. It draws a green horizontal line at the specified buy price and places a label showing the exact buy price value. The line extends to the right, providing a clear visual reference for your entry price as the chart progresses. The label dynamically updates with the current bar index, ensuring the buy price annotation stays aligned with the latest data.
CBC scalping indicator SonGohanscript using the cbc flip scalping method.
this is best used on the shorten timeframes (like 2, 5, 10 minutes)
🔁 QuantSignals | AI Reversal Signal🔁 QuantSignals | AI Reversal Signal
A Free Visual Indicator That Promotes Better Entries
🧠 Built to help traders spot reversal setups + discover the QuantSignals.ai edge.
🎯 What It Does:
This clean, powerful indicator uses a momentum-based reversal logic (RSI crossovers) to highlight potential turning points in any chart — stocks, indices, crypto, or ETFs. Ideal for new and intermediate traders who want simple Buy/Sell guidance with zero clutter.
⚙️ How It Works:
✅ Buy Signal: Triggered when RSI crosses above oversold (default 30)
✅ Sell Signal: Triggered when RSI crosses below overbought (default 70)
✅ Signal Labels: “QS 🔼” and “QS 🔽” on the chart for easy entries
✅ Promo Overlay: Subtle, non-intrusive labels remind traders to check out QuantSignals.ai
✅ Auto Background Tint: Light green/red shading on signals for instant visual confirmation
🌐 Why QuantSignals?
QuantSignals.ai is a next-gen platform for:
🕓 0DTE trading signals
📅 Post-earnings setups
📉 IV flush fades
💡 AI-backed reversal strategies
Trusted by over 1,000 active traders who want real edge — not noise.
🚀 How to Use:
Add to any chart (works on 1m–1D)
Combine with your support/resistance zones
Use as entry timing tool, not standalone system
Check out real trade ideas at QuantSignals.ai
🔗 Call to Action:
📲 Want real-time setups?
👉 Visit www.QuantSignals.xyz
🧠 Learn the full strategy + join the QS community.
📊 Bonus Use Case:
Use this indicator with S&P500 tech stocks post-earnings
Pair with your own watchlist of high-liquidity names
Perfect for small account traders looking to time better entries
💬 Final Words:
“Not every signal is a trade — but every trade should start with a signal.”
— The QuantSignals Team
S&P 500 Smart Trading SetupA custom multi-indicator tool combining EMA 50/200, MACD, RSI, Stochastic RSI, and ATR to help identify trend, momentum, and entry/exit signals for the S&P 500.
NSE/BSE Straddle/Strangle Candle ChartStraddle Candlestick Strategy Indicator
This custom Pine Script indicator is designed to visualize the price action of options using a candlestick chart for Nifty, BankNifty, FINNIFTY, and Midcap indices. It combines Call and Put options for multiple strikes around the underlying asset, creating a detailed view of market movement in a straddle strategy.
Key Features:
Candlestick Visualization: The indicator plots candlestick charts based on the combined price action of both Call and Put options, helping traders analyze price trends for different strikes.
Multi-Strike Options Analysis: It dynamically calculates and plots strike prices above and below the At-the-Money (ATM) strike, offering a comprehensive look at potential price movement across various strike levels.
Customizable Inputs: Users can adjust the strike interval, choose between different index symbols, and customize the appearance of the indicator (e.g., font size, table layout, and color themes).
User-Friendly Dashboard: A clear, customizable dashboard presents the strike price data, along with essential candlestick details, to help users understand the overall market trends at a glance.
Use Case:
This indicator is ideal for traders using straddle strategies on NSE options. It gives users a clear and intuitive visual representation of price action around the ATM strike, helping traders make informed decisions based on the options' movement.
Notes:
The VWAP (Volume-Weighted Average Price) is included for added insight, allowing traders to identify market direction and trends more effectively.
Focused on candlestick price action analysis, without including unnecessary indicators like RSI, Supertrend, or MA.
Perfect for options traders seeking clarity in price movement for better trade execution.
Asia Session Mechanical EntryThis is a fully mechanical trading tool designed to execute trades at the open of the Asia session (starting at 20:00 Argentina time).
It automatically evaluates the directional behavior of the previous two days using simple logic:
📉 If both days were bullish → It sells at the session open (mean-reversion).
📈 If both days were bearish → It buys at the session open.
↔ If one day was up and the other down → It continues the most recent trend.
Once the direction is determined, it:
Sets the entry at the exact time you configure (default is 20:00).
Calculates SL based on nearest swing + ATR buffer.
Calculates TP using a configurable Risk/Reward ratio.
Features:
📅 Works on H1 only (strictly mechanical logic).
🔁 Updates day-by-day automatically.
🎯 Lets you delay the entry by X candles into the session.
🛠 Manual override for SL/TP levels.
🔎 Designed for quick visual backtesting and execution without discretion.
Based on a classic session-based reversion model, this version has been significantly enhanced through ATR filters, manual overrides, and time flexibility to become a robust execution framework for systematic traders.
💡 Ideal for traders looking to reduce emotional bias and follow a fixed daily logic.
GreenyyP Leverage Vortex v6Function Summary of “GreenyyP Leverage Vortex v6”
General Settings
Input fields for long and short base prices
Configurable leverage factor
Adjustable line length and label offset
Toggles for chart labels and scale display
Separate switch to show/hide base-price lines
Individually Toggleable Levels
Each level can be turned on or off independently under the Long/Short groups:
L1, L2, L3 (percentage deviations from the entry price)
TP (Take Profit)
SL (Stop Loss)
Automatic Stop-Loss Correction
SL percentages are processed with math.abs()
Ensures SL lines always plot below (for Long) or above (for Short) the base price regardless of input sign
Drawing Logic
All lines and labels redraw every 10 bars to keep the chart clean
Previous labels are deleted before drawing new ones
Lines are drawn with a width of 2 for clear visibility
Base-Price Lines & Labeling
Optional solid lines for Long and Short base prices
White price labels for each base line
Percentage or short text labels (e.g. “L1: 5%”, “TP: 20%”, “SL: 5%”) with configurable transparency
With these features, you get fully customizable level-plotting, automatic SL handling, and clear visual cues directly on your chart.
Custom GEX Level PlottingPlot your support and resistance levels for SPX along with length of bar to indicate strength of level. Intended for plotting options related levels like GEX and OI on SPX, but works for anything.
Debit Spread POMDP‑Inspired StrategyComprehensive Strategy for TradingView-Based Call and Put Debit Spread Options Using POMDP for Signal Generation
Debit spreads limit risk to the net premium paid while capping potential profit, ideal for moderate price predictions.
Pine Script in TradingView enables custom indicator integration and strategy automation for options trading.
Partially Observable Markov Decision Processes (POMDPs) optimize decision-making under market uncertainty by modeling states, actions, and observations.
Training a POMDP policy involves defining market states, actions, and observations from technical indicators, then simulating and refining the policy.
Automating the strategy via agents or TradingView alerts can execute trades when conditions align with the POMDP-generated signals.
🔄 QuantSignals AI Reversal Pro🔄 QuantSignals AI Reversal Pro — 78%+ Win Rate Reversal Detection
🚀 Catch Market Tops & Bottoms with AI-Powered Precision!
This powerful script brings you professional-grade reversal signals—built on cutting-edge AI, smart confluence logic, and rigorous backtesting.
Whether you’re swing trading, scalping, or position trading, this tool is your new edge.
🎯 Why Traders Love QS AI Reversal Pro:
✅ 78%+ Win Rate on major timeframes (tested on S&P 500, tech stocks, crypto)
🔄 AI-powered oversold/overbought reversal detection
📊 Built-in divergence detection engine (RSI, price, volume)
⚖️ Mean reversion zones + VWAP extremes + Bollinger Band signals
💎 High-Probability Mode: Filters only A+ setups for premium entries
🧠 Confluence Engine: Assigns quality scores to each reversal
🔔 Smart Alerts: Reversal alerts + divergence + premium triggers
🏆 Live Win Rate Tracker on your chart with quality % dashboard
🧠 Powered by QuantSignals AI Engine
This is a limited free version of our proprietary 85%+ win rate reversal algorithm—join our Discord to unlock:
🔐 Institutional-level AI reversal strategy
📈 Real-time confluence dashboards across timeframes
🎯 Custom reversal alerts with entry/exit/stop targets
💬 Live strategy signals, backtests & expert community
💥 Perfect For:
🔁 Reversal traders (crypto, stocks, futures)
⏱ Scalpers & 15m–4H swing traders
📊 Mean reversion systems
🧪 Traders who want data-driven signal confidence
📌 How It Works:
Every signal is based on multi-layer confluence:
Oversold/Overbought + Divergence + VWAP/BB + Volume Surge
Optional: Only show signals with minimum Risk:Reward (e.g. 1:2.5)
Each signal is scored, and you’ll see real-time win rate on-screen
Reversal zones highlighted via color-coded backgrounds
📺 On-Chart Display:
🔄 BUY / SELL Reversal Labels (color-coded for high-probability)
📉 Divergence Lines (bullish & bearish)
🧮 Signal Quality % + Live Win Rate
⚠️ Alerts on all major events (standard + high-prob + divergence)
🔓 Upgrade to Premium (in Discord):
✅ Access full 85%+ win rate reversal model
🧠 AI pattern recognition engine
🔍 Multi-timeframe signal agreement
💡 Institutional order-flow reversal tracking
📊 Backtests + optimization support
🚨 Advanced alerts + automation-ready signals
📲 Join Our 1,800+ Member Community:
🌐 Website: quantsignals.xyz
💬 Discord: discord.gg/quantsignals
🎓 Learn the reversal strategies that top traders use
🔄 Start catching market reversals like a pro—install QS AI Reversal Pro today!
Note: This script is a visual indicator and not a strategy tester. For full backtest-ready premium strategy, please contact us on Discord.
⚡ QuantSignals Post-Earnings IV Flush Strategy⚡ QuantSignals IV Flush Strategy – Post-Earnings Edge
Script Name: ⚡ QS Post-Earnings IV Flush
By: QuantSignals | quantsignals.xyz | Discord: /quantsignals
🎯 Overview
The QS IV Flush Strategy is a professional-grade post-earnings trading system designed to capitalize on volatility collapses ("IV flushes") and early morning price inefficiencies. Built specifically for S&P 500 and tech stocks, this system detects powerful earnings reactions, then systematically executes a two-stage trading plan:
🔄 Reversal Entry @ 6:30 AM PT – Fade early overreaction
🚀 Momentum Follow @ 6:50 AM PT – Ride the second wave
⚙️ Key Features
📊 Smart Earnings Detection: Analyzes gap %, volume spikes, ATR surges
🔥 IV Flush Engine: Detects volatility crushes post-earnings
💼 Dual Strategy Mode: Reversal + Momentum with optional handoff
🛡️ Risk Controls: Dynamic SL/TP per mode with capital-based sizing
📈 Performance Dashboard: Win rate, trade count, drawdown, P&L
📍 Visual Markers: Earnings signals, entries, premarket S/R levels
🔔 Alerts: Entry signals, earnings events, and trade execution
✅ Ideal For
Earnings traders seeking systematic IV edge
Options traders exploiting premium decay post-event
Quant traders needing precise time-based entries
🧠 Strategy Logic
Uses earnings gap size + volume + ATR expansion to detect valid plays
Applies time-filtered logic to isolate early-session edge (ET hours)
Enters size-controlled trades with optional full auto-close by EOD
Fully backtestable on intraday charts (5–15m)
📊 Strategy Settings
Customizable position sizes for both stages
Configurable stop loss / take profit levels
Flexible earnings detection sensitivity (gap %, volume, volatility)
Built-in dashboard shows live stats: trades, win rate, DD, P&L
🧠 Developed by professional traders at QuantSignals
💬 Get strategy support in our Discord: /quantsignals
🌐 Learn more at quantsignals.xyz
⚡ QuantSignals 0DTE Pro⚡ QuantSignals 0DTE Pro – Free Version
Scalp. Squeeze. Strike.
Professional 0DTE Signals Powered by AI
🔍 What is it?
⚡ QuantSignals 0DTE Pro is the ultimate AI-powered TradingView indicator tailored for 0 Days to Expiration (0DTE) options traders.
Developed by the #1 AI trading community – QuantSignals – this script offers a sneak peek into our premium signal engine used by top 0DTE scalpers around the world.
✨ Features (Free Version)
🚀 Momentum Detection (RSI-based + volume confirmation)
⚡ Scalp Buy/Sell Triggers using VWAP & price action
🔥 Gamma Squeeze Alerts (simplified logic)
📊 Volume Spike & Volatility Analysis
📈 Support, Resistance & VWAP Visualization
💎 0DTE Dashboard Overlay showing momentum, VWAP, volume status, expiry timing, and more
🔔 Built-in Smart Alerts for instant trading signals
💼 Used By:
Retail scalpers, professional prop traders, and option flow hunters — especially on SPX, SPY, and QQQ — looking to capitalize on intraday volatility and expiry mechanics.
🧠 Built With:
Multi-timeframe RSI
Custom VWAP deviation logic
Volume spike & range expansion triggers
EMA trend confirmation
Support/resistance bounce detection
Simplified gamma squeeze logic
Full UI dashboard with real-time signal display
📊 Visuals You'll Love:
Green/Red Buy & Sell Signals on Chart
Orange Gamma Alerts
Clean VWAP, EMA, and S/R lines
Compact 0DTE Dashboard: Momentum, Volume %, VWAP distance, Expiry Status, Signal Live Feed
🚨 Smart Alerts Included:
⚡ 0DTE Buy/Sell Signals
🚀 Momentum Shifts
🔥 Gamma Squeeze Detected
📉 Resistance Rejection / 📈 Support Bounce
⚡ Quick Scalping Triggers
📊 Volume Explosions
Never miss a high-probability 0DTE setup again.
💎 Want the FULL version?
This is a limited free release.
Join QuantSignals Discord for:
Real-time options flow & gamma exposure
Institutional-level signal engines
Auto-execution bots
Advanced hedging + delta strategies
SPX/SPY/NQ specialist scalping tools
Premium TradingView scripts with source code
Private trader chat & live sessions
📱 Join the Community
🌐 Website: quantsignals.xyz
💬 Discord: discord.gg
⚡ Trade 0DTE like the pros. Powered by QuantSignals AI.