Demand Index StrategyDescription:
This strategy is an automated trading system based on a faithful replica of the Sierra Chart "Demand Index" (Study ID 139). It utilizes the complex pressure/volume calculations developed by James Sibbet to identify high-probability reversal points from oversold territory.
📈 Strategy Logic: "The Deep Recovery"
The Demand Index combines price and volume to measure buying vs. selling pressure. This strategy specifically looks for a "Deep Recovery" scenario where selling pressure exhausts itself and momentum shifts back to the upside.
The Entry Conditions (Long Only):
Deep Oversold Zone: The Demand Index must have visited the deep negative zone (-45) within the recent lookback period. This ensures we are watching a heavily sold-off asset.
Recovery Trigger: The Demand Index must cross up through the recovery level (-30).
Momentum Confirmation: At the moment of the crossover, the Demand Index must be above its Signal Line (EMA 10) to confirm the immediate trend direction.
⚙️ Default Settings
Buy/Sell Power Length: 10 (Shorter term focus for reaction speed).
Buy/Sell MA Length: 10.
Signal EMA Length: 10.
Deep Level: -45 (Configurable).
Trigger Level: -30 (Configurable).
🛡️ Risk Management
The strategy includes built-in inputs for risk management:
Stop Loss: Defaults to 2.0%
Take Profit: Defaults to 4.0%
Note: These can be toggled off or adjusted in the settings menu.
🔍 About the Indicator Source
This script replicates the specific math found in Sierra Chart's documentation for Study ID 139. This includes the unique H0/L0 volatility scaling, where the calculation utilizes the High and Low of the very first loaded bar to normalize the exponential decay of the buying/selling pressure.
Disclaimer: Past performance is not indicative of future results. This strategy is provided for educational purposes and demonstrates how to automate James Sibbet's Demand Index based on specific Sierra Chart logic.
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Demand Index##Description:
This indicator is a precise Pine Script replica of the "Demand Index" (Study ID 139) as found in the Sierra Chart trading platform.
Originally developed by James Sibbet, the Demand Index combines price and volume data to measure buying and selling pressure. It is often considered a leading indicator, anticipating price trend changes by identifying divergences between the price action and the volume flow.
##Key Features & Formula Logic
This script strictly follows the official documentation provided by Sierra Chart to ensure the values match the original platform as closely as possible.
Specific calculation details included in this port:
- P(HL2C): Uses the weighted average (High + Low + 2*Close).
- Range Calculation: Uses a Moving Range based on Max(High, 2) - Min(Low, 2).
- The H0/L0 Factor: A unique characteristic of the Sierra Chart formula is the use of H0 and L0 (the High and Low of the first loaded bar in history) to scale the volatility exponent. This script replicates that behavior.
Note: Because H0 and L0 depend on the start of the loaded data, values may shift slightly if the amount of historical data on your chart changes. This is consistent with how the study behaves in Sierra Chart.
- Complex Weighting: Calculates "Buy Power" and "Sell Power" using the specific exponential decay formula outlined in SC ID 139.
##Settings (Inputs)
- Buy/Sell Power Length (nBS): Length for smoothing Volume and Range (Default: 19).
- Buy/Sell Power MA Length: Length for the smoothing of the calculated Buy/Sell Power (Default: 19).
- Demand Index MA Length: Length for the final Simple Moving Average (SMA) of the Demand Index (Default: 19).
- MA Type: Choose the smoothing algorithm for intermediate steps (EMA, SMA, WMA, RMA). Default is EMA.
##How to Trade / Interpret
- Divergence: The most powerful signal. If price makes a new High but the Demand Index fails to reach a new High, it suggests Buying Power is weakening (Bearish Divergence). Conversely for Bullish Divergence.
- Zero Line Cross: A cross above zero indicates Buy Power > Sell Power (Bullish). A cross below zero indicates Sell Power > Buy Power (Bearish).
Disclaimer: This script is for educational and analytical purposes only. It is a code conversion based on public documentation of Sierra Chart Study ID 139.
Sierra Chart, best trading software, EVER!
With the best datafeet. Denali Exchange Data Feed.
HVP Diario CC/CSPThis HVP Daily CC/CSP indicator is designed for traders seeking consistent income through options selling, transforming daily volatility into a clear, objective, and actionable guide: it shows you exactly when NOT to sell options due to weak premiums, when to take advantage of moderate volatility to safely sell PUTs, and when volatility is high enough to sell CALLs with superior returns. Everything is based on a percentile calculation that compares current volatility with its historical behavior, smoothed to eliminate noise and enhanced with an EMA that reveals the true market trend. If you want to trade with discipline, avoid bad weeks, and maximize your weekly income through simple, visual, and precise signals, this indicator is for you.
PA Helper - SessionsPA Helper – Sessions is a session visualization and timing utility designed to give precise intraday context directly on your chart. It allows you to define up to four custom trading sessions with full control over time ranges, colors, fills, and timezone handling, making it suitable for any market or trading style.
The indicator draws clear session start and end markers and can optionally highlight the full session range on the chart. A key capability is that it does not limit itself to historical data only: it can project and display future session boundaries ahead of the current price, allowing you to see upcoming session starts and ends before they happen. This is especially useful for planning trades, managing exposure, and preparing for session-based volatility.
Candles outside active session hours can be visually muted or hidden using a separate color, helping you focus only on relevant trading periods. The script also supports real-time session detection, ensuring accuracy both in replay mode and live markets.
In addition, PA Helper – Sessions includes configurable alerts that can notify you a chosen number of minutes before a session starts or before it ends. These notifications work across all enabled sessions and are designed to trigger reliably without duplicate alerts, making them practical for active intraday traders.
Overall, this tool acts as a clean, precise session framework that combines past, present, and future session awareness, helping you align price action analysis with time-based market behavior.
SMA Cross Counter - MTF SmoothTitle Idea
SMA Cross Counter - MTF Smooth (Find the 50-Bar Sweet Spot)
Description
Overview
This indicator tracks and displays the number of bars elapsed since the current 20SMA crossed the Higher Timeframe (HTF) 20SMA. By quantifying the "age" of a trend, it is designed to help traders identify high-probability pullbacks with objective precision.
Strategy: The 50-Bar Sweet Spot
This script is built around a specific tactical observation:
The Target: A "One-Cushion Granville Setup" occurring approximately 50 bars after the crossover is often a high-probability "Sweet Spot." At this stage, the trend is usually well-established but still possesses significant momentum.
The Edge: By monitoring the counter in the bottom-right corner, you can move away from subjective "feel" and objectively judge the trend's maturity. It helps you avoid the high volatility of an early cross and the exhaustion risks of a late-stage trend (e.g., over 100 bars).
Key Features
Automatic MTF Selection The reference timeframe updates automatically as you switch charts.
1m chart → 5m SMA
5m chart → 30m (or 15m) SMA
15m chart → 1h SMA
Daily chart → Weekly SMA, and so on.
Smooth MTF Visualization Eliminates the "stepped/staircase" effect common in MTF indicators. It connects higher-TF data points with smooth, diagonal lines, maintaining a clean chart and showing the true slope of the trend.
Real-Time Bar Counter Resets to "0" at the exact moment of a crossover and increments by 1 with every new bar.
Settings
5m Chart Reference: Choose between 30m or 15m as the HTF source when trading on a 5m chart.
SMA Period: Defaults to 20, but fully adjustable to fit your specific strategy.
タイトル案
SMA Cross Counter - MTF Smooth (50本目のスイートスポット判定)
説明文(日本語)
概要
このインジケーターは、現在の20SMAが上位足の20SMAと交差してからの「経過バー数」をリアルタイムでカウントし、右下のテーブルに表示します。 単なるクロスの確認ではなく、トレンドの「経過時間」を数値化することで、押し目買い・戻り売りの精度を極限まで高めるために開発されました。
戦略:50本目のスイートスポット
本インジケーターは、以下のトレード理論をベースに設計されています。
狙い目: SMA同士がクロスしてから50本程度経過したタイミングでの「ワンクッショングランビル」は、トレンドの勢いが安定し、かつ伸び代が最も残されている**「スイートスポット」**となる可能性が高い。
メリット: 右下のカウンターを見るだけで、感覚に頼らず「今がトレンドの何合目か」を客観的に判断できます。クロス直後の不安定な時期や、100本を超えたトレンド終盤の失速リスクを避けるのに有効です。
主な機能
自動タイムフレーム選定 (Auto-MTF) チャートの時間軸を切り替えるだけで、表示中の足に合わせて最適な上位足を自動選択します。(例:5分足なら30分足SMA、15分足なら1時間足SMAなど)
滑らかな上位足ライン MTF特有の「階段状のギザギザ」を排除。上位足の確定値を直線で結ぶため、チャートを美しく保ちつつ、正確なトレンドの傾きを確認できます。
リアルタイム・カウンター SMAがクロスした瞬間に「0」へリセット。以降、1本ごとに加算されます。
設定項目
5分足チャート時の参照先: 上位足を「30分」にするか「15分」にするかを切り替え可能。
SMA期間: デフォルトは20。ご自身の手法に合わせて調整してください。
SDF,MKNASDYDFBCASGBFJNAS
Core Concept This is a Time-Based Range Breakout system. It monitors price action during a specific user-defined time window to establish a "High" and "Low" reference range. Once this window closes, these levels become the trigger points for potential trades.
Key Features
Validated Breakouts: The script doesn't just take any breakout. It requires a candle to close outside the range with specific momentum. It calculates whether the breakout is significant (e.g., at least 20% of the candle's body is outside the line) to filter out fake-outs.
Persistent Multi-Trade Memory (Smart Holding): This is the script's most advanced feature. Unlike standard indicators that overwrite old data when a new signal appears, this system uses a digital memory bank (Arrays).
It can track multiple trades simultaneously across different days.
If a trade is opened on Monday, it stays active in memory until its specific Target or Stop Loss is hit, even if new trades are taken on Tuesday or Wednesday.
Independent Trade Management: Every trade runs on its own "thread." Trade A can hit its Target while Trade B is still running. The script calculates the specific Entry, Stop Loss, and Take Profit for every single signal independently.
Performance Dashboard: A panel on the screen tracks the total performance for the current month, showing Wins, Losses, Accuracy Percentage, and a list of currently Active Trade IDs (e.g., "B#1, S#3") so you can see exactly what is running in the background.
Relative Strength vs SPY (Master Dashboard)Compares ETFs and major themes against the SPY. Themes can be toggled in settings
Titan Precision Oscillator v2.1 (Ultra Viz)Experience the next evolution of momentum trading. The Titan Precision Oscillator is not just another MACD; it is a high-performance tool re-engineered with Zero Lag Exponential Moving Average (ZLEMA) mathematics to eliminate the traditional delay found in standard indicators.
This "Ultra Viz" edition (v2.1) solves a common problem: visibility. We have introduced a dynamic Histogram Multiplier, allowing you to scale the histogram bars proportionally to the signal lines, ensuring you never miss a divergence or momentum shift due to poor scaling.
Key Features:
🚀 Zero Lag Technology: Built on ZLEMA logic, providing signals much faster than the standard MACD, allowing for earlier entries and exits.
📊 Proportional Scaling: New Histogram Multiplier input allows you to increase the visual size of the histogram without altering the underlying math. Perfect for checking momentum at a glance.
👁️ Ultra-Viz Design: High-contrast neon color palette (Cyberpunk style) designed for dark mode, reducing eye strain and highlighting trend strength instantly.
⚡ Clarity: Visual crossover dots and a dynamic "Cloud" fill make trend changes unmistakable.
How to Use & Best Practices:
Timeframes:
Scalping (1m - 5m): Highly effective due to the lag reduction. It reacts quickly to volatility spikes.
Day Trading (15m - 1H): The sweet spot for trend confirmation and swing entries.
Swing (4H+): Excellent for identifying major market reversals with zero-line crosses.
Recommended Assets:
Perfect for Indices (Nasdaq, S&P500, Mini-Indices), Forex, and Crypto due to its responsiveness to volatility.
Trading Signals:
Crossovers: White dots indicate immediate entry points.
Histogram Color: Bright Neon indicates accelerating momentum; Faded color indicates exhaustion/pullback.
Divergence: Because of the ZLEMA precision, divergences between price and the Titan Oscillator are often more reliable than standard oscillators.
Configuration:
Histogram Multiplier: Default is 4.0x. Adjust this up or down depending on the volatility of the asset to make the bars fit your screen perfectly.
Inputs: Fully customizable Fast/Slow/Signal lengths to tune for your specific strategy.
ARSLAN H1 Order Blocks & Fair Value Gaps indicator. Shows institutional buying/selling zones (Order Blocks) and price inefficiencies (FVG) on H1 timeframe.
Индикатор Order Blocks и Fair Value Gaps на H1. Показывает институциональные зоны покупок/продаж (Order Blocks) и неэффективности цены (FVG).
ICT Silver Bullet BoxesOverview
This Pine Script v6 indicator is a streamlined tool designed for ICT (Inner Circle Trader) students, specifically optimized for traders in the Dhaka (GMT+6) time zone. It automates the drawing of high-probability liquidity zones based on the Asian Range and the Silver Bullet algorithm windows.
Unlike standard session highlights, this script focuses on the price action boundaries (Highs and Lows) within these specific windows to help you identify liquidity pools and potential "Judas Swing" targets.
Key Features
Asian Range (Liquidity Phase): Automatically marks the high and low of the 7:00 PM – 12:00 AM NY window (6:00 AM – 11:00 AM Dhaka). This box represents the day's initial consolidation where buy-side and sell-side liquidity is engineered.
Silver Bullet Windows: Highlights the two most critical 60-minute windows:
London Silver Bullet: 3:00 AM – 4:00 AM NY (2:00 PM – 3:00 PM Dhaka)
NY AM Silver Bullet: 10:00 AM – 11:00 AM NY (9:00 PM – 10:00 PM Dhaka)
Automatic DST Adjustment: The script uses the America/New_York timezone internally. This means the boxes will automatically shift correctly when New York enters Daylight Saving Time, keeping your Dhaka chart accurate year-round.
Clean Visuals: Instead of coloring the entire background, the script draws precise boxes around the price action High/Low of each session for a clutter-free experience.
How to Use
Mark Liquidity: Use the Asian Range Box to identify where the "stops" are resting.
Anticipate the Sweep: During the London or NY Open, look for price to raid the Asian High or Low.
Execute the Bullet: Within the Silver Bullet boxes, look for a Market Structure Shift (MSS) and a Fair Value Gap (FVG) for your entry.
Settings
Custom Colors: Fully customizable colors and opacity for both London and New York sessions.
Borders: Toggle borders on/off to match your chart theme.
Single Year Historical ProjectionBasic year projection onto chart from a previous year, good for reference previous years movements.
Enjoy
AI Reversal Probability Zones (Dual Mode)This custom-built indicator is designed to detect potential bullish and bearish reversals by aggregating multiple high-probability signals into a unified score. It blends momentum, volatility, trend deviation, and candle structure into a single visual line, enhanced by dynamic color zones that represent the probability and strength of a market reversal.
Key timings for indicesThis indicator has following key levels
9:30 am open
opening range low
opening range high
8 am low
8 am high
midnight open
I.C.C. Trading SystemThe ICC trading strategy, standing for Indication, Correction, Continuation, is a market structure-based method to find trend continuations by identifying initial price moves (Indication), waiting for pullbacks (Correction) at key levels like Support/Resistance, and entering when the trend resumes (Continuation), preventing premature entries and emotional trades by aligning with market dynamics.
Time period relation testerWith this script you can define a time period (default Comex) and compare its relation to a following time period (default Prime NY session) and lookback and get a statistic on how often the trend reverses from the first to the second time period.
TGA Real Historialen Based on the Publish script window on your screen, here is a concise description in English that you can use for your indicator:
"This indicator displays the historical balance of the U.S. Treasury General Account (TGA). Data is dynamically loaded from an external CSV file hosted on GitHub to ensure the history is automatically kept up to date."
clirings//@version=5
indicator("Range Marker ", overlay=true)
// Функция для проверки времени на вхождение в диапазон с 23:50 до 10:00 (ночной клиринг)
isNightTime = (hour >= 23 and minute >= 50) or (hour < 9)
// Функция для проверки времени на вхождение в диапазон с 18:50 до 19:05 (вечерний клиринг)
isEveningClearing = (hour == 18 and minute >= 50) or (hour == 19 and minute <= 5)
// Функция для проверки времени на вхождение в диапазона с 14:00 до 14:05 (дневной клиринг)
isDayClearing = (hour == 14 and minute <= 5)
// Фоновый цвет для ночного времени (23:50–09:00)
bgcolor(isNightTime ? color.new(color.blue, 80) : na, title="Night Session")
// Фоновый цвет для вечернего клиринга (18:50–19:05)
bgcolor(isEveningClearing ? color.new(color.red, 80) : na, title="Evening Clearing")
// Фоновый цвет для дневного клиринга (14:00–14:05)
bgcolor(isDayClearing ? color.new(color.orange, 80) : na, title="Day Clearing")
SUMA VuManChu Cipher B Revised to V6// This indicator is an updated version of the original WuManChu Cipher B indicator, I updated it to v6 and fixed a few things that were no longer supported in v6 from the original v3 or v4.
// I also made the RSI and Stoch to fully comedown to the bottom of the display panel to reflect what the rest of the parameters are doing, I adjusted the money flow to be more sensitive.
// I tried to leave the logic as it was original intended to be used,
// I renamed and put everything together, it was a bit challenging but Cipher B is such a great indicator that I think it deserved the update and the time I put into it.
Google Trends: ETH (Cryptollica)Google Trends: ETH (Cryptollica)
Google Trends data since 2016, Keyword: ETH
Daily Opens (Today/Yesterday/Prev Week)Market open markers for Volume profile traders, Marks Current Day open, Previous Day open, Previous Week open.






















