Strong Gold Signals | ProjectSyndicateStrong Gold Signals catches the moment a liquidity grab runs out of fuel โ price stabs beyond a level, traps the breakout crowd, then rolls over โ and fires the reversal the instant the sweep stops extending. Markets hunt the obvious highs and lows: a candle pushes through a prior swing, an HTF extreme, or a session high/low, spikes just far enough to trip the stops resting there, then rejects with a long wick and closes back showing the move had no follow-through. That failed grab is the event. The engine measures how clean and how loaded that sweep is as a 0โ10 Reversal Strength and fires AGAINST the grab โ with the snap-back, not with the trap. Every setup gets a structural invalidation level behind the sweep extreme, fixed R-based targets, a 0โ10 strength with a 1โ4 star rank, and is tracked live on a full statistics dashboard โ including honest stop-outs โ so you can see exactly how the logic behaves on the symbol and timeframe you trade.
๐ง Sweep Core โ the core idea, expressed as a lifecycle: LEVEL โธ GRAB โธ REJECTION โธ STALL โธ REVERSAL. A fresh liquidity level defines where stops are resting. A grab happens when price closes beyond that level with a rejection wick โ the raid that runs the stops and then gets sold (or bought) back into range. The sweep is allowed to keep extending as long as it makes new extremes; the reversal fires on the first confirmed bar that fails to push past the sweep's high or low. Swept highs flip to a SHORT, swept lows to a LONG. Pivots come from confirmed swings and every condition is evaluated on the bar's close, so the structure and the signal do not repaint once they confirm.
๐ Three Liquidity Sources โ you choose what counts as the liquidity being swept. Macro Pivots uses confirmed swing highs and lows and is the validated default on intraday gold. HTF Previous Bar uses the prior higher-timeframe bar's high and low, so the engine hunts the levels bigger players watch. Session High/Low tracks the Asian, London, and New York ranges and reacts when a session extreme is raided. One switch changes the entire character of what the engine treats as a stop-hunt, without touching the rest of the logic.
๐ Strength Anatomy โ a sweep is not just true or false; it is scored for how clean the reversal setup is. The Reversal Strength fuses reversal-native ingredients into a single 0โ10 read: trend context (how the higher structure frames the fade), rejection wick (how decisively the grab was rejected), volatility regime (calmer conditions favor clean snap-backs over runaway sweeps), mean proximity (how stretched price is from its baseline), and sweep depth (how far past the level the raid reached before stalling). Each ingredient carries its own weight and contributes to the 0โ10 total, and you shape what qualifies through those weights and the wick threshold rather than chasing a single number.
๐ฏ Structural Invalidation + R-Based Targets โ the stop is anchored to the sweep, not guessed. Invalidation sits just beyond the sweep extreme โ the price that, if reclaimed, means the grab was real and the reversal failed โ plus an ATR buffer for cushion. That distance is then clamped between an ATR floor and an ATR ceiling, so a stop never balloons into a wide one and the 1R target never collapses into a tight scalp. TP1, TP2, and TP3 are set at clean R multiples, defaulting to a deliberately wider 1.5R / 3R / 5R so winners are given room to travel, and fully adjustable to your reward profile. Every signal plots its complete Entry / SL / TP1 / TP2 / TP3 line set, labeled level prices, the swept liquidity level itself, and filled TP / SL zone boxes, with a result label on exit โ and every zone is drawn at the same fixed width, so short trades and long trades leave an identical, uniform footprint on the chart.
โญ 0โ10 Strength with Star Tiers โ every signal is labeled with its numeric strength, a star rank, and a tier ladder running MINIMAL โ WEAK โ MODERATE โ STRONG โ ELITE, so the raw quality of a setup reads at a glance without checking the number. Treat the strength as a cleanliness and confluence read for ranking and thinning setups โ it describes how textbook a sweep-and-reject is, not a guaranteed outcome. The Minimum Stars gate restricts what is taken and alerted, while the dashboard keeps tracking every tier in the background so you can see, on your own data, whether higher tiers actually convert better.
๐๏ธ Conviction Controls โ a compact set of dials sets how serious a sweep must be before it counts: the Minimum Stars To Take (the tier floor to fire at all), the Alert Minimum Stars threshold, the Min Reversal Wick that defines a genuine rejection, the Pivot Length that decides which swings qualify as liquidity, the Stop Buffer beyond the sweep, and the max-risk cap and min-risk floor that keep the stop sane. Tighten them for fewer, cleaner reversals; loosen them for more activity. This is your main control over conviction versus frequency.
๐งญ Single-Ticket Discipline & Honest Accounting โ only one ticket is active at a time, and a Signal Cooldown enforces a minimum gap between entries so one violent, choppy session can't stack overlapping trades. Resolution is SL-first pessimistic with honest partial-target accounting โ if a stop is hit after TP1 or TP2, that partial result is booked rather than rounded up to a full win. A time-stop closes any trade that neither targets nor stops within a generous window, so nothing sits open forever and the on-chart statistics track how the setups actually run to target.
๐ Live Statistics Dashboard โ a non-intrusive panel tracks, in real time on your chart: the current status (scanning โ trade active) and the active trade side, the last signal with its star score, win rate, total closed trades, profit factor, average R per trade, best-performing direction, long vs short win rate, current and max win/loss streaks, and a TP1 / TP2 / TP3 / SL outcome breakdown. A multi-timeframe trend strip shows the current and two higher-timeframe biases at a glance, a Win Rate By Strength table breaks results out by star tier, and a Last Trades ledger lists the most recent outcomes. Every filled trade that reaches an outcome is counted โ winners and stop-outs alike โ so the numbers are computed live from the real signals on your current symbol and timeframe, not a figure printed in a description.
๐จ Clean Themed Visuals โ six coherent palettes, all tuned for a black chart background โ Aurora (the clean mint-and-rose default), Gold Noir, Ice Blue, Aqua Violet, Neon Magenta, and Institutional โ shade the signal labels, the per-trade SL / TP ladder and zone boxes, the swept-level and pivot-liquidity markers, and the dashboard to one consistent look, so direction and quality read at a glance. Each reversal prints a labeled GOLD LONG or GOLD SHORT signal with its strength, star tier, and direction. A max-drawn-trades cap keeps only the most recent tickets on the chart while the statistics stay cumulative over the full history.
๐ Detailed Alerts โ fires on a Strong Long Reversal, a Strong Short Reversal, any reversal, and on TP3 Hit, Partial TP Exit, and SL events, formatted for manual or automated use. The strength gate can restrict alerts to higher-conviction setups only.
๐ง Fully Customizable โ every component is exposed: the liquidity source and its pivot length, HTF resolution, session times and timezone, and the reversal-wick threshold; the ATR length, stop buffer, max-risk cap and min-risk floor, and the three R targets; the cooldown, the time-stop window, the uniform zone width, and the max historical trades drawn; the minimum-stars gate, the alert threshold, and each of the five strength weights; the dashboard position, size, and every section toggle including the MTF strip and its two timeframes; all six themes; and every signal label, star, line, box, level tag, and dashboard element.
๐ฏ Why this is different โ most reversal tools flag a wick or a divergence after the fact. This one treats the liquidity grab and its exhaustion as the event, scores how clean that sweep-and-reject is across trend context, rejection, volatility, stretch, and sweep depth, and fires only when the raid stops extending โ catching the snap-back at its origin โ then anchors invalidation behind the sweep, ranks every setup on an objective 0โ10 scale, and layers a live, honest statistics panel that counts stop-outs in full. You tune and judge it on real, current data from your own chart instead of a marketing number.
๐ Where to use it โ the engine was built and tuned on XAUUSD (gold) on intraday timeframes, where liquidity hunts, session raids, and stop-runs are a constant feature โ but the mechanics are symbol-agnostic and rest on universal behavior: every liquid market sweeps its obvious highs and lows. It can be applied to FX majors and crosses, metals, indices, and crypto on intraday timeframes, with the pivot length and ATR-based stop adapting to each instrument's volatility. Because it fades exhaustion, it shines around session extremes and range edges and demands more care in violent one-way trends, where a sweep can keep extending rather than reject โ let the dashboard tell you whether the logic suits the pair and timeframe before you commit.
๐ฏ How to trade it
Apply it to a liquid symbol on an intraday timeframe and let the dashboard populate. Read the live win rate, profit factor, and average R for your symbol and timeframe first โ if the logic doesn't suit that market, you'll see it.
Wait for a labeled GOLD LONG / GOLD SHORT reversal โ it marks a confirmed close where liquidity was swept and rejected and the sweep has stopped extending, with the strength, star tier, and full Entry / SL / TP1 / TP2 / TP3 already plotted.
Read the star tier and the swept level for a fast conviction check โ a decisive rejection at a clean level and a higher tier mean a more textbook fade.
Manage the trade with the plotted levels โ the ATR-clamped structural stop sits beyond the sweep and defines your risk, and the wider TP1/2/3 sit at your chosen R multiples. Bank or trail however suits your style.
Use the Minimum-Stars floor, the reversal-wick threshold, the pivot length, the cooldown, and the liquidity source to set your tempo โ stricter for fewer, cleaner reversals; looser for more activity โ and lean on the star tier to focus on the most textbook grabs.
โ ๏ธ Important โ this is a decision-support tool, not a standalone buy/sell system, and it makes no performance guarantees. Default settings were chosen on historical gold data and behavior will vary by symbol, timeframe, session, and configuration; the dashboard's statistics are historical and descriptive, not a forecast. The trade model resolves stop-first and books partial-target exits honestly, so some trades close for a fraction of a target rather than a full win โ these are counted in full, which is honest but means win rate alone is misleading; because the targets are intentionally wide, expect a lower headline win rate and always weigh it together with average R and profit factor, and resize the R targets to your own risk profile. Signals confirm on the closed bar, and the pivot-based liquidity source confirms a few bars after a swing forms โ so always wait for the labeled reversal on a closed candle. Because the system fades a move, a real breakout or a sweep that keeps extending can run straight through a stop โ combine it with your own analysis and risk management, and test it on your market before trading it live. Indicator

Liquidity Propulsion Signals | ProjectSyndicateLiquidity Propulsion Signals catches the moment a liquidity grab fails โ and instead of chasing the breakout, it fades it. Markets coil, then hunt the resting liquidity parked above swing highs and below swing lows. When price spears one of those pools and then snaps back inside the range, it traps the breakout crowd and loads a "spring." The engine measures the energy stored in that failed grab as a 0โ100 Propulsion Charge, and fires contrarian โ in the direction the trapped crowd is now forced to unwind. Every setup gets a structural invalidation level beyond the failed grab, fixed R-based targets, a 0โ100 charge with a 1โ5 star rank, and is tracked live on a full statistics dashboard โ including honest stop-outs โ so you can see exactly how the logic behaves on the symbol and timeframe you trade.
๐ง Liquidity-Spring Core โ the core idea, expressed as a lifecycle: COIL โธ GRAB โธ LOAD โธ IGNITE โธ TARGET. Resting-liquidity pools are mapped from confirmed swing pivots โ the highs and lows where stops cluster. A grab begins when price pierces one of those pools: a low driven below sell-side liquidity, or a high pushed above buy-side liquidity. If price then reclaims the pool โ closes back inside the range within the reclaim window โ the grab has failed, and that failure loads a spring on the opposite side. The spring later ignites into a signal when price pushes through the bar that armed it. Pools come from confirmed pivots and every transition is evaluated on the bar's close, so the pools and the signal do not repaint.
๐ Charge Anatomy โ a failed grab is not just true or false; it is scored for how much energy it carries. The Propulsion Charge fuses six breakout-native ingredients into a single 0โ100 read: grab depth (how far price penetrated the pool, in ATR), reclaim velocity (how fast it snapped back within the window), rejection wick (the share of the bar spent rejecting the level), volume surge (the spike over a rolling baseline), coil compression (how tightly the market was wound before the grab โ a loaded spring versus a loose one), and reclaim displacement (how decisively close pushed back past the level). Each component is independently weighted, so you can dial the engine toward depth, speed, volume, or compression as your edge demands.
๐ฏ Structural Invalidation + R-Based Targets โ a loaded spring is invalidated before it fires if price falls back beyond the grab extreme, so weak grabs quietly disarm instead of trading. Once a discharge fires, the trade model builds a universal ATR-based zone height: the stop sits a fixed ATR distance from entry, so every signal draws the same SL/TP geometry โ no super-wide or super-narrow zones to distort your risk. TP1, TP2, and TP3 are set at clean R multiples, defaulting to a balanced 1R / 2R / 3R and fully adjustable to your reward profile. Every signal plots its complete Entry / SL / TP1 / TP2 / TP3 line set, labeled level prices, and filled TP / SL zone boxes, with a result label on exit.
๐งฒ Opposing-Liquidity Magnet โ because a discharge is fundamentally drawn toward the next pool of unswept liquidity, the engine can project the nearest opposing pool as a dotted magnet line: the obvious, structural target the move is being pulled toward. It is a context read for where the propulsion wants to go, sitting alongside your fixed R targets rather than replacing them.
๐๏ธ Conviction Controls โ a compact set of dials sets how serious a failed grab must be before it counts: the Arm Threshold (the minimum charge that loads a spring at all), a Strong Tier cutoff, an optional Only Fire Strong-Tier Springs filter, the minimum grab depth, the reclaim window, and the ignition window that keeps an armed spring from waiting forever. Tighten them for fewer, cleaner discharges; loosen them for more activity. Combined with the six component weights, this is your main control over conviction versus frequency.
๐งญ Ignition Gating & Single-Ticket Discipline โ an armed spring is not a trade until it ignites: price must close through the ignition level set at load time. If the grab extreme is broken back the other way, the spring disarms; if the ignition window elapses with no trigger, it discharges unused and resets. Only one ticket is active at a time, so a single chaotic session can't stack overlapping trades, and resolution is SL-first pessimistic with honest partial-TP accounting โ if a stop is hit after TP1 or TP2, that partial result is booked rather than rounded up.
โญ 0โ100 Charge with Star Tiers โ every discharge is labeled with its numeric charge, a 1โ5 star rank, and a tier ladder running FLAT โ WEAK โ PRIMED โ STRONG โ ELITE. Treat the charge as a cleanliness and confluence read for ranking and thinning setups โ it describes how textbook a failed grab is, not a guaranteed outcome. The Arm Threshold and Only-Strong gate restrict what is displayed and alerted, while the dashboard keeps tracking every tier in the background.
๐ Live Statistics Dashboard โ a non-intrusive panel tracks, in real time on your chart: the current bias (long spring / short spring / active / idle) and status (waiting โ grab forming โ spring loaded โ discharging), a live charge meter with separate long- and short-spring readings, the magnet distance up and down in ATR, the last discharge with its star score, total signals, win rate, closed trades, profit factor, average R per trade, best-performing direction, long vs short win rate, current and max win/loss streaks, and a TP1 / TP2 / TP3 / SL outcome breakdown. Every filled trade that reaches an outcome is counted โ winners and stop-outs alike โ so the numbers are computed live from the real signals on your current symbol and timeframe, not a figure printed in a description.
๐จ Clean Themed Visuals โ five coherent palettes (Midnight default, plus Emerald, Ice Blue, Gold Black, and Aqua Violet) shade the liquidity-pool lines, the โก charge labels, the per-trade SL / TP ladder and zone boxes, and the dashboard to one look, so direction and quality read at a glance. Liquidity pools are drawn as color-keyed dotted levels; each discharge prints a โก label with its charge, star tier, and direction arrow. The active ticket extends live to the right and then snaps cleanly back to its exit bar on close, so labels never float away โ and a max-drawn-trades cap keeps only the most recent tickets on the chart while the statistics stay cumulative over the full history.
๐ Detailed Alerts โ fires on a long or short spring loaded (a qualifying failed grab), on long / short discharge (ignition), on any discharge, and on TP3 and SL events, formatted for manual or automated use. The strength gate can restrict alerts to higher-conviction springs.
๐ง Fully Customizable โ every component is exposed: the pivot length that defines which pools count, the ATR length, the coil window and its looseness reference; the reclaim window, minimum grab depth, depth and volume energy references, volume baseline, and ignition window; the arm and strong thresholds, the only-strong filter, and all six charge weights; the universal risk distance and the three R targets; the opposing-liquidity magnet, level-shelf length, and max historical trades; the dashboard position, size, meter, and per-target breakdown; all five themes; and every pool, label, line, box, and star toggle.
๐ฏ Why this is different โ most "liquidity" tools simply draw lines at old highs and lows and tell you a sweep happened. This one treats the failed sweep as the event, scores how much spring energy that failure stored across depth, velocity, wick, volume, compression, and displacement, and fires contrarian โ fading the trapped breakout the way price actually tends to unwind โ then anchors invalidation to the grab itself, projects the opposing pool the move is drawn toward, and layers an objective 0โ100 ranking and a live, honest statistics panel that counts stop-outs in full. You tune and judge it on real, current data from your own chart instead of a marketing number.
๐ Where to use it โ the engine is symbol-agnostic and built on universal behavior: stop-runs and failed breakouts happen in every liquid market, so it can be applied to FX majors and crosses, metals, indices, and crypto, on intraday timeframes. Pivot length and the ATR-based stop adapt to each instrument's volatility automatically. Because it is a contrarian, mean-reversion engine, it shines in ranging and liquidity-hunting conditions and demands more care in strong one-way trends โ let the dashboard tell you whether the logic suits the pair and timeframe before you commit.
๐ฏ How to trade it
Apply it to a liquid symbol on an intraday timeframe and let the dashboard populate. Read the live win rate, profit factor, and average R for your symbol and timeframe first โ if the logic doesn't suit that market, you'll see it.
Wait for a โก LONG / โก SHORT discharge label โ it marks a confirmed close through the ignition level after a failed grab, with the charge, star tier, and full Entry / SL / TP1 / TP2 / TP3 already plotted.
Use the opposing-liquidity magnet as a logical target read: it shows the unswept pool the discharge is being pulled toward.
Manage the trade with the plotted levels โ the universal ATR stop defines your risk and TP1/2/3 sit at your chosen R multiples. Bank or trail however suits your style.
Use the Arm Threshold, Only-Strong gate, and the six charge weights to set your tempo โ stricter for fewer, cleaner discharges; looser for more activity โ and lean on the star tier to focus on the most textbook failed grabs.
โ ๏ธ Important โ this is a decision-support tool, not a standalone buy/sell system, and it makes no performance guarantees. Default settings were chosen on historical data and behavior will vary by symbol, timeframe, session, and configuration; the dashboard's statistics are historical and descriptive, not a forecast. The trade model resolves stop-first and books partial-target exits honestly, so some trades close for a fraction of a target rather than a full win or loss โ these are counted in full, which is honest but means win rate alone is misleading; always weigh it together with average R and profit factor, and resize the R targets to your own risk profile. Signals confirm on the closed bar, so always wait for the labeled discharge on a closed candle. Because the system is contrarian by design, a sufficiently strong trend can run straight through a stop โ combine it with your own analysis and risk management, and test it on your market before trading it live. Indicator

Strong Squeeze Signals | ProjectSyndicateStrong Squeeze Signals catches the moment a genuine volatility coil releases โ and instead of treating every flat patch as a setup, it waits for a real squeeze to fire, tags the direction from momentum, and ranks the release 0โ10 with a star score. A market that has been compressing for a stretch of bars โ its Bollinger Band wound tightly inside its Keltner Channel โ has to actually expand back out, in the direction of momentum, before a signal arms. Every setup gets a structural stop beyond the coil that just broke and fixed R-based targets, and is tracked live on a full statistics dashboard so you can see how the logic behaves on the exact symbol and timeframe you trade.
๐ง Squeeze-Release Core โ the core idea. The engine measures volatility compression directly from two bands. When a Bollinger Band contracts entirely inside a Keltner Channel, the market is coiling: range is shrinking and energy is building. A signal fires on the release โ the bar where the band expands back outside the channel โ and the direction is set by a linear-regression momentum oscillator that measures how far price sits from a composite centreline. Momentum above zero on the release fires a long; below zero fires a short. The longer and tighter the coil before it lets go, the more it counts. Signals are evaluated on the bar's close and are fixed once that bar closes โ the release does not repaint.
๐ Coil Mapping & Tightness โ while a squeeze is active, the engine continuously tracks how many bars it has been compressing, the high and low extent of the coil, and how tight it became โ the Bollinger half-width as a fraction of the Keltner half-width. A long coil that wound down to a very tight ratio is a loaded spring; both the duration and the tightness feed directly into the strength score. A minimum-coil filter ignores fleeting micro-squeezes, and an optional Strict Fire setting demands a confirmed expansion on the release bar rather than just the end of the coil.
๐ฏ Structural Stop + R-Based Targets โ the stop is placed just beyond the coil that just broke, with an ATR buffer: below the coil's low for a long, above the coil's high for a short โ then capped and floored by ATR so it can never balloon into a wide stop or collapse into a meaningless one. TP1, TP2, and TP3 are set at clean R multiples and default to 0.5R / 0.75R / 1.25R โ a tighter, hit-rate-leaning profile out of the box, and fully adjustable to whatever reward-to-risk you prefer. Every signal plots its complete Entry / SL / TP1 / TP2 / TP3 line set, labeled price levels, and filled TP / SL zone boxes, with a result label on exit.
๐๏ธ Coil-Conviction Controls โ two inputs set how serious a squeeze must be before its release counts: Minimum Coil Bars To Arm how long the spring must compress and Minimum Strength the 0โ10 gate. Tighten them for fewer, higher-quality fires; loosen them for more frequent signals. This is your main dial for conviction versus frequency.
๐งญ HTF Trend Alignment Filter โ an optional higher-timeframe EMA filter blocks counter-trend fires, keeping you on the dominant side of the market: longs only above it, shorts only below. The higher-timeframe value is read without lookahead. A signal cooldown spaces out entries so a single impulsive expansion doesn't stack multiple tickets.
โญ 0โ10 Setup-Quality Score โ every release is scored and labeled with 1โ5 stars and a tier FORMING โ WEAK โ MODERATE โ STRONG โ VERY STRONG โ ELITE across nine squeeze-native factors: coil length stored energy, coil tightness how far the band compressed inside the channel, momentum magnitude at release, momentum acceleration in the fire direction, volume confirmation, expansion-candle body and range, band-width widening on the break, higher-timeframe alignment, and RSI agreement. Treat the score as a confluence / cleanliness read for ranking and thinning setups โ it describes how textbook a squeeze release is, not a guaranteed outcome. A Minimum Strength / Only Strong gate lets you display and alert on stronger setups only, while the dashboard keeps tracking every tier in the background.
๐ Live Statistics Dashboard โ a non-intrusive panel tracks, in real time on your chart: the current squeeze state coiling / fired / expanded / no squeeze, live coil-bar count, the momentum reading, current status and the active trade, the last signal with its star score, total signals, win rate, closed trades, profit factor, average R per trade, best-performing direction, long vs short win rate, current and max win/loss streaks, and a TP1 / TP2 / TP3 / SL hit breakdown. These are computed live from the signals on your current symbol and timeframe โ so you can judge the settings yourself rather than trusting a number printed in a description.
๐จ Clean Themed Visuals โ an institutional colour palette shades each zone by direction and score: bullish coils run a teal family that deepens as the score climbs, bearish coils a red-to-magenta-to-purple family, so quality reads at a glance. The compression zone is drawn over the bars where the coil formed and labeled with FIRE plus its star score; the TP and SL zones are harmonized to the same palette. Four lighting themes drive the lines, labels, and dashboard; an optional faint background tint marks active coils, and optional state dots can sit under the chart. A Max Zone Width control caps how far the SL / TP / Entry zones extend to the right, so long trades never stretch into oversized towers across the chart.
๐ Detailed Alerts โ fires on strong long / short squeeze releases, plus squeeze-on new coil forming, squeeze-released, partial-TP, TP3, and SL events, including direction and score, formatted for manual or automated use. The minimum-strength setting can restrict alerts to higher-conviction setups.
๐ง Fully Customizable โ every component is exposed: Bollinger and Keltner lengths and multipliers, the true-range toggle, minimum coil bars and Strict Fire confirmation, the 0โ10 strength gate and Only-Strong filter, ATR length, the structural-stop buffer with risk cap/floor, the three R targets, level-shelf length and Max Zone Width, the HTF alignment filter, the signal cooldown, plus the full institutional box palette, all four themes, and every label, dashboard, and zone-shading option.
๐ฏ Why this is different โ most squeeze tools just print a histogram or drop a dot when the bands let go and leave everything after that to you. This one classifies the release direction from momentum, requires a real coil rather than a momentary flat spot measuring both how long and how tightly it compressed, demands momentum, acceleration, volume, and expansion confirmation, anchors the stop to the coil that actually broke, then layers an objective 0โ10 ranking and a live, on-chart statistics panel on top โ so you are tuning and judging the system on real, current data instead of a marketing figure.
๐ Where to use it โ markets that coil and expand: Forex, Gold XAUUSD, indices, and crypto, on intraday and swing timeframes M10/M15/M30/H1 and up. The ATR-based stop and R targets adapt to each asset's volatility automatically.
๐ฏ How to trade it
Apply it to a market that produces real volatility cycles and let the dashboard populate. Read the live win rate, profit factor, and average R for your symbol and timeframe before committing โ if the logic doesn't suit that market, you'll see it.
Keep the HTF Trend Alignment filter on so you only take releases in the direction of the larger trend.
Wait for a STRONG LONG FIRE / STRONG SHORT FIRE label โ it marks a confirmed coil release, with the star score and Entry, SL, and TP1/2/3 already plotted.
Manage the trade with the plotted levels: with the default sub-1R targets a common approach is to bank TP1 quickly, then trail or hold the remainder toward TP2/TP3; the structural SL defines your risk on the trade. If you prefer a higher reward-to-risk profile, widen the R targets in the inputs.
Use Minimum Coil Bars and Minimum Strength to set your style โ stricter for fewer, cleaner releases; looser for more activity โ and use the star score and Only-Strong gate to focus on the cleanest setups.
โ ๏ธ Important โ this is a decision-support tool, not a standalone buy/sell system, and it makes no performance guarantees. Default settings were chosen on historical data and behavior will vary by symbol, timeframe, and configuration; the dashboard's statistics are historical and descriptive, not a forecast. Note the default targets are sub-1R 0.5R / 0.75R / 1.25R: tight targets tend to raise the raw hit rate while lowering the reward-to-risk on each trade, so win rate read on its own is misleading โ always weigh it together with average R and profit factor, and resize the targets to your own risk profile. Signals confirm on the closed bar, so always wait for the labeled release on a closed candle. Always combine it with your own analysis and risk management, and test it on your market before trading it live. Indicator

Strong SD Magnet | ProjectSyndicateThe Liquidity Magnet System in this script is based on the original Magnet System concept by FeelsStrategy โ full credit to the original developer. It has been rebuilt from the ground up here: a stricter, smarter pull engine fused with a session-aware supply/demand framework and a facts-only dashboard with zero fabricated probabilities.
๐ฅ๐ฉ IMPORTANT INFO: For best results run indicator on M5 TF so it builds HQ SD zones.
๐งฒ Liquidity Magnet System โ the core of this tool. This is not a "point an arrow at the biggest level and slap a fake percentage on it" magnet. A pull only fires from a zone that has earned it: still valid (not broken), strong enough to matter, and already re-tested at least once. Fresh, untested zones never throw a magnet โ price has to come back and respect the level first. Every pull is a high-conviction, vertical roadmap drawn inside the session, from a proven source toward where liquidity actually sits next.
๐ฏ Nearest-Valid-Target Pull Logic โ the powerful new part. Supply pulls down to the closest qualifying demand below; demand pulls up to the closest qualifying supply above โ never the flashiest far-away level just to look dramatic. The target must clear its own minimum score, must sit within an ATR-bounded reach (no promising a move the market isn't stretched for), and must be one of the levels actually displayed on your chart. No cross-session arrows, no jumping to hidden or invalidated zones. Clean, literal, tradable.
๐ฅ๐ฉ Session Supply & Demand Engine. Each session builds a fresh batch of zones from confirmed swing pivots, drawn as uniform ATR-sized bands centred on the level โ slick and consistent, never lopsided. Insignificant swings below your ATR floor are rejected before they become zones, and overlapping same-side zones merge into one so you get clean structure instead of stacked duplicates. Only the top-N strongest zones per side, per session, are shown across your chosen lookback.
WTI M5
โญ 0โ10 Zone Strength Score. Every zone is graded on a weighted blend of departure impulse, volume at formation, rejection-wick quality, and freshness, with optional time-decay while a level sits idle. Strong zones render sharp and opaque; weak ones fade โ the fill itself doubles as a strength bar. This score is what the magnet leans on when choosing valid sources and targets.
โป๏ธ Live Zone Lifecycle โ โ FRESH โ ยท TESTED โ โ INVALID. Fresh means untouched since formation (highest interest). Tested means price has wicked in and the level is holding. Invalid means price closed (or wicked โ your choice) through it, and the zone fades out, marked broken. The magnet only ever uses fresh-or-holding, valid zones as endpoints.
๐ Facts-Only Dashboard โ no fabricated probabilities, anywhere. A non-intrusive top-right panel summarises the session in real numbers only. SUPPLY / DEMAND lists the session's top zones with tag, price range, 0โ10 score, and live state. MAGNET PULLS gives one row per active pull: the route (e.g. โผ S2โD1โ, source โ target, โ if the target is still fresh), the pull strength, the target price, and the real distance from current price as a signed % and an ATR multiple. FIELD shows net pull bias (summed pull strength each side, ฮฃโผ vs ฮฃโฒ), the nearest target, and live counts.
UK100 M5
๐งฎ Honest Pull Strength (0โ10), never a fake "chance". The headline magnet number is a strength index โ a transparent blend of the source zone's strength and the target zone's strength. It is labelled as strength, not probability. You will never see an invented "92% chance it reaches" here; every figure on the panel is a real score, a real price, a real distance, or a real count.
๐๏ธ Fully Adjustable Magnet Filters. One settings group exposes the entire engine: source minimum score, required number of re-tests, target minimum score, maximum ATR reach, magnets per session, and how many recent sessions to display. Tighten the thresholds for fewer, cleaner pulls; loosen them for more activity. This is your main dial for conviction versus frequency.
๐จ Clean Themed Visuals. Uniform ATR bands, compact in-band zone labels, and a tidy top-right stats panel. Strong levels stand out by opacity, older sessions can fade, and the magnet pulls use their own clear accent colour so they never get lost in the zones.
๐ Built-In Alerts. Fire on new supply and demand zones, on price approaching supply or demand, and specifically on price approaching a strong zone โ formatted for manual or automated use, so you can be notified the moment structure forms or price reaches a level that matters.
BTCUSD M5
๐ง Fully Customizable. Every component is open: session boundary and timezone, swing sensitivity and zone spacing, overlap merging, ATR band height and minimum swing size, the four strength weights and idle decay, the complete magnet filter set, plus all label, colour, theme, and alert options.
๐ฏ Why this is different. Most magnet and liquidity tools chase the biggest level on the screen and dress it up with a made-up probability. This one fixes the logic first โ a pull only from a strong, re-tested, valid zone, aimed at the nearest valid opposite level within reach โ then reports it with an honest strength score and a panel of real, current numbers. You judge it on facts, not a marketing figure.
๐ Where to use it. Trend- and range-rotational markets across Forex, Gold (XAUUSD), indices, and crypto, on intraday and swing timeframes (M10/M15/M30/H1 and up). Because zone height, reach, and distance are all ATR-based, the engine adapts to each asset's volatility automatically.
๐งญ How to trade it. Read the dashboard first โ it tells you the session's dominant supply/demand levels and whether the field is being pulled up or down. Use the magnet pulls as a directional bias and a target map: a strong re-tested supply pulling down to a fresh demand is a clean roadmap for where price is being drawn. Favour entries from valid zones in the direction of the net pull, treat the magnet's target as the logical objective, and size it against the ATR distance shown. A โ fresh target is the highest-quality objective; once it flips to โ, that roadmap is spent.
โ ๏ธ Important. This is a decision-support tool, not a standalone buy/sell system, and it makes no performance guarantees. Everything it shows is descriptive of current zone strength and real distance โ the pull strength is a confluence/cleanliness read, not a forecast, and there are deliberately no fabricated probabilities. Behaviour varies by symbol, timeframe, and configuration. Always combine it with your own analysis and risk management, and test it on your market before trading it live.
NQ M5
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