Early Pullback Watchlist FlagAn alert across multiple symbols by adding to chart creating alert using indicator as apply to all symbols in watchlist with real time notificationPine Script® indicatorby ycornelius10
IN-MeanRThis is a calm, selective mean-reversion signal generator that lives in its own pane below the chart. It quietly tracks how far the current price has wandered from its recent “normal” range, showing a single smooth blue line that drifts up when things get unusually expensive and down when they get unusually cheap. Markets overreact. When they go too far and start coming to their senses, that’s when we quietly take notice - but only after the turn has already begun to look real. These dots are intentionally infrequent. The tool is built to be patient - it ignores small wiggles, marginal stretches, and anything that hasn’t proven it’s really extreme and is actually starting to reverse. It only marks the moment when the snap-back looks believable. You can dial how “picky” it gets (from very loose/fast to very strict/slow) through a hidden style setting, which changes how big the stretch needs to be before it even considers paying attention.Pine Script® indicatorby ido06904
Phoenix: Iron Fortress [Trend Engine] v3.20 CNTitle: Phoenix: Iron Fortress v3.20 (Targeting Mod) Core Philosophy: "Virtualize the easy wins, Strike only on reversals." This strategy uses a unique Targeting Systemto filter out noise. It skips "easy" trends to save fees and only commits real capital when a true reversal structure is confirmed. Key Features: 1. 🎯 Virtual Entry (Targeting): Signals trigger a "Targeting State" instead of a real trade.  ✅ Virtual Win: If price drops to TP immediately -> Reset. (Profit captured virtually, 0 fees).  🔫 Real Release: Real entry fires ONLY if the trend goes against us (Accumulate) and then reverses (Down). 2. 🌐 Dual Trend Engine: Separate logic for DCA (Hull MA/Gaussian) to catch entries, and TP (VWAP) to ride trends. 3. 👻 Ghost DCA: Accumulates positions virtually during Targeting. When "Released", you enter with an optimized average price. Visual Guide:  🎯 Targeting Start | ➕ Virtual Accumulation | ✅ Virtual Win (No Trade)  🔫 FIRE (Real Entry) | 💰 Real TP Best For: Traders who hate paying fees for small chops and want to snipe high-probability reversals.Pine Script® strategyby ytj153480766662
Deep Early Pullback ScannerIdentifies high-probability early entry setups in trending stocks. It high lights small-bodied red pullback candles within an uptrend, signaling potential continuation moves before conventional UT Bot buy signal triggersPine Script® indicatorby ycornelius132
Range Structure IndicatorThis script analyzes volatility and price structure to identify trading ranges and consolidation zones for analytical purposesPine Script® strategyby enbolsaenbolsa1119
ARVEX Context Glass ARVEX Context Glass v2.0 is a market-structure and context indicator that overlays an ATR-based channel around price and provides an optional setup grading display to support consistent evaluation of market conditions. Display The script can render the following elements (configurable): • ATR-based channel (“Glass Channel”) around price • Adaptive trend path (“Spine Line”) • Setup windows / boxes projected forward (when enabled) • Grade label (A+ to F) and score display (0–100) • ATR-based stop lanes (optional) • HUD panel showing grade, score, state (Long / Short / Flat), and stop status Coloring can be used to visually distinguish bullish vs. bearish structure. ⸻ Intended use This script is a context / framework tool. It is not intended to be used as a standalone entry or exit system. Typical uses: • filtering trade opportunities based on market context • visualizing volatility-aware structure zones • applying a consistent grading approach (optional) • displaying optional ATR-based stop reference levels ⸻ Core logic (high-level overview) The grading and context framework combines multiple independent dimensions (weighted and normalized), such as: 1. Price structure / trend flow (adaptive moving average logic) 2. Momentum assessment (comparative moving-average momentum logic) 3. Swing-structure confirmation (HH/HL vs. LH/LL interpretation) 4. Proximity to key levels (support/resistance awareness) 5. Regime classification (trend/range conditions via ADX-style logic) These components are combined into a unified score (0–100) which can be mapped to a grade (A+ to F). All thresholds, weights, and visibility can be adjusted via inputs. ⸻ Optional setup windows When enabled, the script can display setup windows/boxes based on the active filters and grading rules. Boxes are visual context zones and may be filtered by minimum grade. ⸻ Optional stop lanes When enabled, the script can display ATR-based stop reference lanes that adapt to volatility and direction. These are visual references and not trade instructions. ⸻ Alerts Alerts can be enabled for qualified long/short setup windows (subject to grade and filter settings). ⸻ Disclaimer This script is provided for informational and educational purposes only and does not constitute financial advice, investment advice, or a recommendation to buy or sell any asset. Trading involves risk. No guarantees are made regarding outcomes. Use at your own discretion and apply appropriate risk management.Pine Script® indicatorby ARVEXalgo2
The Mechanical Trader - StrategyThe Mechanical Trader — Strategy (Invite-Only) This strategy is designed to help traders backtest and execute a mechanical workflow based on price action concepts. It combines context filters (liquidity context, daily bias, EMA, and premium/discount) with three selectable entry modules, allowing users to build a rules-based approach that can be evaluated in Strategy Tester. The goal is to translate discretionary price action ideas into explicit, repeatable rules. This can make it easier to backtest, review, and learn from a consistent process. Core concepts / filters - Liquidity context (e.g., sweep/reversal-type setups) - Daily bias (optional) - EMA filter (optional) - Premium/Discount framework (optional) Entry modules (selectable) - Engulfing patterns - Fair Value Gaps (FVG) - Breakouts Trade management - Multiple stop-loss and take-profit options (including structure-based placement) - Trailing stop options - Break-even logic - Partial take-profits Position sizing Includes risk-based sizing utilities intended to support consistent decision making. It can calculate sizing when risking a % of equity and size based on different stop methods (e.g., ATR or structure-based stops such as beyond an FVG or pattern). Stop levels can also be used in alert-based execution workflows. Suggested workflow (testing & execution) This script is intended to be tested and used on the selected chart timeframe (intraday or swing). Some constraints (like trading windows and max trades/day) are primarily intended for intraday use. - Trading window (time filter) - Max trades per day - Clearly defined rules for entries, exits, and management To reduce random noise when evaluating settings: - Build a ruleset first (modules + filters + management) - Use a minimum sample size (for example 20–30 trades total or more) - If you decide to forward-test, keep settings unchanged during a defined sample (for example at least 20 trades) to avoid mixing results from different parameter sets Note: Strategy Tester results depend on instrument settings and execution assumptions. For realistic evaluation, adjust Strategy Properties to match your market conditions. How to access See the Author’s Instructions below. Disclaimer Not financial advice. Trading involves risk. Past performance is not indicative of future results.Pine Script® strategyby krissegamingUpdated 2
Dual Layer FVG (Dynamic + Static)Overview This indicator visualizes Fair Value Gaps (FVG) using a unique dual-layer approach. Standard FVG indicators usually either shrink as price touches them OR stay at their original size. This script combines both methods to give you a complete picture of market imbalance and mitigation. Key Concepts Dynamic FVG (Foreground): This layer represents the remaining gap. As price moves into the FVG (mitigation), this zone shrinks in real-time, showing you exactly how much unfilled imbalance is left. Static FVG (Background/Ghost): This layer represents the original gap size. It remains fixed even when price penetrates it, allowing you to see the historical depth of the imbalance. Features Multi-Timeframe (MTF) Support: View Higher Timeframe (HTF) FVGs on your current chart (e.g., Daily FVG on a 1-hour chart). Visual Customization: Fully adjustable colors and transparency for both the Dynamic and Static layers. Mitigation Tracking: The gap is automatically removed only when it is fully mitigated. Smart Labels: Toggle labels on/off and adjust their position (Top, Mid, Bottom) relative to the gap. Settings Guide Timeframe: Choose 'Chart' for current timeframe or select a specific HTF. Dynamic FVG: Controls the shrinking zone. Usually set to a higher opacity. Static FVG: Controls the fixed 'Ghost' zone. Recommended to keep transparency high (around 90) for a subtle background effect. Max Bars Back: Adjusts how far back in history the script calculates. Increase this if you are viewing very high timeframe FVGs on very low timeframe charts.Pine Script® indicatorby jeonchanhyuk_2
Brahmastra Moving Average ADX🔱 BRAHMASTRA MOVING AVERAGE ADX 🔱 ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ A precision trend detection system that fuses the Average Directional Index (ADX) with a dynamic Weighted Moving Average (WMA) to deliver crystal-clear trend signals. █ HOW IT WORKS ━━━━━━━━━━━━━━ This indicator analyzes both TREND STRENGTH (via ADX) and TREND DIRECTION (via +DI/-DI) to color-code the moving average: 🟢 GREEN MA = Strong Uptrend (ADX > threshold + Bullish bias) 🔴 RED MA = Strong Downtrend (ADX > threshold + Bearish bias) ⚫ GRAY MA = Ranging/Weak Trend (ADX below threshold) █ KEY FEATURES ━━━━━━━━━━━━━━ ✅ ADX-Based Trend Confirmation - Only signals when trend strength is confirmed ✅ Color-Coded WMA - Instantly identify trend direction at a glance ✅ Buy/Sell Signals - Visual markers on trend reversals ✅ Real-Time Info Panel - Live ADX, +DI/-DI values, and trend status ✅ Customizable Visuals - Adjust colors, line width, and fill zones ✅ Built-In Alerts - Get notified on trend changes █ SETTINGS ━━━━━━━━━━ - DI Length (default: 14) - Period for +DI/-DI calculation - ADX Smoothing (default: 14) - Smoothing period for ADX - ADX Trend Threshold (default: 18) - Minimum ADX to confirm trend - MA Length (default: 9) - Period for the Weighted Moving Average █ HOW TO USE ━━━━━━━━━━━━ 1. TREND TRADING: Enter long when MA turns GREEN, short when RED 2. RANGE FILTER: Avoid trades when MA is GRAY (ranging market) 3. CONFIRMATION: Use the info panel to verify ADX strength before entry 4. ALERTS: Set up alerts to catch trend changes automatically █ BEST TIMEFRAMES ━━━━━━━━━━━━━━━━━ Works on all timeframes. Recommended: 15M, 1H, 4H, Daily █ CREDITS ━━━━━━━━━ Developed by Brahmastra Trading Systems Inspired by the legendary ADX indicator by J. Welles Wilder Jr. ━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━ 💡 Like & Follow for more premium indicators!Pine Script® indicatorby StockEngineering10
ATR Adjusted Relative Strength Line Introduction: This indicator visualizes the relative strength of a stock versus its benchmark index using ATR-adjusted price changes. It highlights moments when the stock is outperforming or underperforming its benchmark, while also detecting early signs of strength before price follows. Key Features: Cumulative ATR-Adjusted Relative Strength: Tracks ongoing outperformance relative to the benchmark over time. Cumulative & Smoothed: Optionally apply cumulative smoothing to detect trends over longer periods. Indicator EMA: Shows a moving average of the relative strength for trend confirmation. New High Detection: Green Circles: Stock’s relative strength hits a new high, but price hasn’t yet followed. Pink Circles: Relative strength leads price, signaling potential early breakout opportunities. Cloud Visualization: The area between the indicator and its EMA is shaded to quickly see bullish (lime) and bearish (red) momentum. Zero Line Reference: Helps identify when relative strength crosses from negative to positive. Automatic Benchmark Selection: Picks an index based on the exchange (e.g., DFMGI for DFM stocks, FADGI for ADX) or allows manual selection. Real-Time Labels: Displays the current benchmark and early signals directly on the chart. Calculation: 1. Stock and Benchmark Price Changes The indicator first calculates the change in the stock’s price for each period (daily, hourly, etc.). You can choose whether to use simple price differences or log returns (percentage-like growth). The same calculation is done for the benchmark index (auto-selected based on the stock’s exchange or manually chosen). 2. Adjust for Volatility (ATR) The period-to-period price changes are divided by the Average True Range (ATR) of the stock and the benchmark, respectively. This normalization step makes changes comparable, regardless of how volatile the stock or index is. For example, a $1 move in a calm stock is more significant than a $1 move in a very volatile stock. 3. Compute Relative Strength For each period, the indicator subtracts the benchmark’s ATR-adjusted change from the stock’s ATR-adjusted change. Positive values indicate the stock is outperforming its benchmark in that period; negative values indicate underperformance. 4. Cumulative Summation Each period’s relative strength is added to the previous periods’ total. This makes the indicator cumulative, showing whether the stock has been consistently outperforming or underperforming over time, rather than just in a single period. Use Cases: Spot stocks that are outperforming their index before the price confirms. Confirm trend strength using the EMA and cloud. Detect potential early breakout opportunities with “RS leads price” signals. Ideal For: Swing traders, momentum traders, and anyone looking to track stock strength relative to the market in real time.Pine Script® indicatorby UAE_Stock_Pro3
Nokor Traders CRTThis indicator combines three powerful tools in one to improve market analysis and trading decisions: • Higher Timeframe Candlestick View – Helps traders understand overall market structure, momentum, and key price behavior from larger timeframes. • Asia, London, and New York Killzone Sessions – Highlights major market trading sessions to help identify high-liquidity periods and potential volatility opportunities. • Heikin Ashi Trend Line – Assists in detecting trend direction and potential reversal points with smoother price visualization. This all-in-one indicator is designed to help traders identify market bias, session volatility, and trend changes more clearly and efficiently. Admin t.mePine Script® indicatorby lorshousannUpdated 326
Crypto Market Sessions (Institutional) by Ambrosia-Prime v1.2Crypto Market Sessions (Institutional) by Ambrosia-Prime Understand when liquidity matters – and when it doesn’t. This indicator visualizes global crypto market sessions based on institutional liquidity, not retail exchange opening hours or local banking schedules. It is designed to help traders identify high-impact trading windows, potential volatility expansions, and periods of reduced participation — directly on the chart, in a clean and reliable way. What this indicator does • Highlights the major institutional crypto liquidity sessions • Displays local session times with automatic DST handling • Marks Asia, Europe, EU–US overlap, USA and No-Market phases • Treats weekends as structurally low-liquidity periods • Issues holiday warnings when institutional participation is likely reduced All session logic is UTC-based, making it stable and consistent across all symbols and timeframes. Institutional session model (UTC) • Asia: 00:00 – 08:00 • Europe: 07:00 – 13:30 • EU–US Overlap: 13:30 – 16:30 • USA: 16:30 – 21:00 • No Market: 21:00 – 00:00 During the Asia–Europe overlap (07:00–08:00 UTC), both sessions are active. Europe is visually prioritized due to typically higher institutional volume. Key features • True institutional session logic (FX & derivatives driven) • Automatic DST support via IANA timezones • Optional manual timezone offset • Session background highlighting • Forward-projected session box • Current-session label (no historical clutter) • Compact session table with local times • Algorithmic holiday warning engine (no web data): – Easter-based holidays (EU / UK) – Nth-weekday holidays (US / UK) – Optional observed-day handling Why this matters Markets move with liquidity, not with office hours. This tool helps you: • avoid trading during structurally thin periods • focus on high-participation windows • add time-based context to any strategy • align crypto trading with institutional market behavior Designed for BTC, ETH, crypto indices, and any market where liquidity timing matters. Disclaimer This indicator is an informational market-context tool only. It does not provide trading signals or financial advice.Pine Script® indicatorby Ambrosia-Prime0
Breakout Targets [AlgoAlpha]🟠 OVERVIEW This script identifies consolidation zones and provides automated breakout targets with risk management levels. It focuses on finding periods where price action compresses and then tracks the subsequent breakout from these ranges. When a price breakout is confirmed, the script automatically projects three take-profit (TP) levels and a stop-loss (SL) based on current market volatility. This helps traders move from identifying a range to executing a trade with predefined exit points without manual calculation. 🟠 CONCEPTS The script uses a relationship between Weighted Moving Averages (WMA) and Exponential Moving Averages (EMA) of price ranges to detect consolidation. When these moving averages cross, it triggers the detection of recent pivot highs and lows to draw a visual "box" or channel. This channel represents the current trading range. Once price closes outside this box, the script uses the Average True Range (ATR) to determine the volatility-adjusted distance for the stop loss. The take-profit levels are then calculated as multiples of this risk distance, ensuring a consistent reward-to-risk approach. 🟠 FEATURES Dynamic box drawing that highlights potential supply and demand zones within the range. Real-time breakout signals with bullish (green) and bearish (red) markers. Automated trade projection including Entry, SL, and three TP levels. Integrated alert system for breakouts and hits on any profit or loss target. 🟠 USAGE Setup : Add the script to your chart and adjust the "Range Detection Period." A higher period will find larger, more significant ranges, while a lower period will find smaller, short-term consolidation zones. Read the chart : Look for the grey boxes on your chart; these represent areas where the market is "coiling." A green arrow label indicates a bullish breakout from the top of the box, while a red arrow indicates a bearish breakout from the bottom. Once a breakout occurs, follow the projected horizontal levels for your trade management. Settings that matter : The Stop Loss ATR Multiplier is the most critical setting for risk; increasing it will give the trade more room to breathe but will also push your TP levels further away. The Prevent Overlap toggle is useful for keeping the chart clean by ensuring the script doesn't draw new boxes until the current range has been resolved. Pine Script® indicatorby AlgoAlphaUpdated 1010 1.6 K
Profile Edge Trading - Range BreakoutOpening Range Breakout (ORB) & Profile Confluence The indicator is an all-in-one institutional trading system. It combines the volatility of the session open with the structural context of Market Profile (TPO) to identify high-probability breakout entries while filtering out "bull and bear traps." What It Does Most ORB strategies fail because they ignore where the market is trading relative to "Value." This indicator solves that by aligning the Opening Range (OR) with the Previous Day’s Value Area (VAH/VAL/POC). It triggers Buy/Sell marks only when price breaks the opening range and aligns with the broader profile structure, ensuring you are trading with the institutional trend rather than against it. Key Features Smart ORB Signals: Automatic Buy/Sell marks based on Opening Range breakouts, filtered by volume and profile structure. Dual Chart Modes: * Market Profile (TPO): View the historical distribution of price. Hybrid Candlestick: Toggle to candlesticks for intraday execution while keeping the profile levels visible. Profile Confluence Filter: Validates breakouts only if they occur relative to the Previous Day High (VAH), Low (VAL), or Point of Control (POC). Visual Risk Management: Automatically plots Stop Loss (SL) and Take Profit (TP) levels on the chart the moment a signal triggers. Customizable Reward: Adjust your desired Risk/Reward ratio (e.g., 1:2, 1:3) directly in the input settings. Multi-Timeframe Logic: Use TPOs for structural context and candlesticks for precise entry timing. How to Use Define the Range: Set your Opening Range time (e.g., first 5, 15, or 30 minutes) in the settings. Risk/Reward Ratio: Input your Reward Ration (e.g., 1.5, 2 )Pine Script® indicatorby profileedge3
Central Bank Liquidity Gap IndicatorThis indicator measures the gap between global liquidity growth and stock market growth to identify potential buying opportunities. Liquidity drives markets. When central banks print money, that liquidity eventually flows into stocks and other assets. If we spot when liquidity growth is outpacing market growth, we can spot moments when the market is "due" to catch up. I like this quote: Earnings don't move the overall market; it's the Federal Reserve Board... focus on the central banks and focus on the movement of liquidity." - Stanley Druckenmiller How Central Bank Liquidity Gap Indicator Works The indicator calculates a simple divergence: Divergence = Liquidity Growth % − S&P 500 Growth % Green bars = Liquidity is growing faster than the market (bullish) Red bars = Market is growing faster than liquidity (less bullish) Multi-Country M2 Money Supply Unlike basic M2 indicators, this one lets you combine money supply data from multiple economies, including US, UK, Canada, China, Eurozone, Switzerland and Japan. Each country's M2 is automatically weighted by its actual size (converted to USD). Larger economies have more influence on the global liquidity picture. I've added a discount for China. China's M2 weight is reduced by 50% to account for capital controls that limit how much Chinese liquidity flows into global markets and into the US market. Fed Net Liquidity You can also blend in Fed Net Liquidity for a more precise US liquidity measure: Net Liquidity = Fed Balance Sheet − Treasury General Account − Reverse Repo This captures the actual liquidity the Fed has injected into financial markets, not just the broad money supply. How To Read It The Buy Zone (5%+ Divergence) When the divergence exceeds +5%, the indicator enters the "Buy Zone" (highlighted with green background). This means liquidity is significantly outpacing market growth — historically a good buy signal. The Support Table The info table shows: Component weights: How much each country's M2 contributes Corr w/ SPX: Current correlation between liquidity and SPX (are they moving together?) Leads SPX by X: Does past liquidity predict future SPX moves? (higher = more predictive) Divergence %: Current divergence value Signal Correlation Stats Corr w/ SPX: Measures if liquidity and SPX are moving in sync right now Leads SPX: Measures if liquidity changes predict future SPX moves. A positive value here suggests liquidity is a leading indicator. Potential Use Cases Long-term investing: Wait for 5%+ divergence (buy zone) to accumulate index funds, ETFs, or stocks Leveraged ETFs: Use buy zone signals to time entries into UPRO, TQQQ, SSO (higher risk, higher reward) Crypto: Bitcoin and crypto markets also correlate with global liquidity — use this for BTC accumulation timing Risk management: Avoid adding positions when divergence is deeply negative Important Notes This is a long-term indicator and not for daytrading. It works best used on Daily/Weekly timeframes It identifies accumulation zones and not precise bottoms Truly yours, Henrique Centieiro Inspired by the relationship between M2 money supply and market performance, enhanced with multi-country liquidity tracking and Fed balance sheet analysis. Let me know if you have questions/suggestions. Pine Script® indicatorby HenriqueCentieiro4433
Zigzag Fibonacci Golden Zone [Wisco]This script is a remake of Zigzag Fibonacci Golden Zone allowing for more customization options over the original. i created this so i could change the line thickness and colors.Pine Script® indicatorby jjmayfield19889
Smooth Accelarating RSISmooth Accelerating RSI (SA RSI) | MisinkoMaster Smooth Accelerating RSI is a refined long-term momentum oscillator designed to deliver smoother RSI behavior while preserving the ability to react when momentum begins to accelerate. The indicator focuses on reducing noise typically found in standard RSI calculations while maintaining responsiveness during meaningful trend transitions. This makes it particularly suitable for traders who prefer longer-term structure analysis or want cleaner signals across volatile markets. Key Features Smoother, longer-term RSI behavior compared to standard RSI Momentum acceleration component for faster reaction to trend changes Multiple moving average types supported for flexible smoothing behavior Configurable trend and value-zone thresholds Visual trend labeling and colored candles for intuitive reading Divergence-style momentum histogram for shift detection Adaptive smoothing to balance responsiveness and stability How It Works The indicator builds on traditional RSI logic but introduces layered smoothing and acceleration techniques to improve stability while preserving responsiveness. Instead of relying on a single smoothing pass, the oscillator blends multiple smoothing layers and applies adaptive acceleration logic. This allows the RSI to remain calm during consolidation yet react quickly when momentum begins to expand. An additional momentum change component highlights acceleration or deceleration phases, helping traders detect potential trend continuation or exhaustion. The result is an RSI variant that behaves more smoothly over longer horizons while still adapting when market momentum shifts. Inputs Overview Source — Selects the price source used in RSI calculations RSI Length — Controls the primary RSI calculation period Smooth Accelerating Length — Controls final smoothing and acceleration responsiveness MA Type — Selects which moving average method is applied throughout calculations ALMA Offset & Sigma — Parameters used only when ALMA smoothing is selected Upper Threshold — Level signaling bullish trend bias Lower Threshold — Level signaling bearish trend bias Overbought Threshold — Defines potential exhaustion zones on the upside Oversold Threshold — Defines potential exhaustion zones on the downside Usage Notes Designed for smoother, longer-term momentum tracking Suitable for traders preferring fewer but more stable signals Momentum histogram helps identify acceleration or weakening trends Threshold crossings can indicate directional shifts Overbought and oversold zones may help locate pullback opportunities Works best when combined with price action or confirmation tools Always test parameters according to asset volatility and timeframe Summary Smooth Accelerating RSI provides a calmer and more structured alternative to standard RSI while preserving the ability to detect meaningful momentum changes. It is well suited for traders seeking cleaner long-term signals without losing awareness of emerging trend acceleration.Pine Script® indicatorby MisinkoMaster560
Farjeat Liquidity HeatmapEncuentra las zonas de liquidez y te muestra donde podría dirigirse el precio.Pine Script® indicatorby erickfarjeat10
Farjeat Price Action FractalIt automatically detects market fractality and provides a projection of potential price movements, helping you make more informed buying and selling decisions!Pine Script® indicatorby erickfarjeat7
Composite Trend ScoreComposite score of major indicators to determine relative trend directionPine Script® indicatorby TRDRZone14
Gold Zones - Static Simplified1. The "Memory" of the Market Each zone is created by clustering multiple Pivot Points (swing highs and lows). A zone with "10 touches" is significantly more powerful than one with "3 touches" because it shows that every time Gold reached that price, a large number of orders were triggered. 2. The "Break and Retest" Mechanism This is the core logic of the strategy. The Break: When Gold moves with high momentum through a zone (e.g., breaking above a Resistance zone), it signals that the balance of power has shifted to the buyers. The Retest: Once the breakout happens, "trapped" sellers often close their positions, and new buyers wait for a better price. Price usually returns to the top edge of the broken zone. What was once a "Ceiling" (Resistance) now becomes a "Floor" (Support). 3. Zone Strength & Interpretation Support Zones (Price is above): These are "Buying Floors." You look for the price to dip into these gray boxes and show rejection (long wicks) before entering a long position. Resistance Zones (Price is below): These are "Selling Ceilings." You look for the price to rally into these boxes and stall before considering a short position. Thickness of the Zone: A wider zone indicates a highly volatile area where price struggled to find a clear direction. A thinner, tighter zone represents a very precise level where the market reacted instantly.Pine Script® indicatorby dawitmek1188
Advanced Trend Strength AnalyzerTrend Strength Analyzer is an all‑in‑one tool designed to quickly show you how strong a trend is, which side is in control, and whether conditions favor continuation or reversal. This indicator blends multiple components into a single, intuitive view: ADX for trend strength (filters out choppy, sideways markets). RSI for momentum, overbought/oversold context, and exhaustion. MACD for trend direction and confirmation. EMAs as a higher‑timeframe style trend filter and bias. All of these are normalized into a combined Trend Strength Score that ranges from -100 to +100: Strong bullish trend: score closer to +100. Strong bearish trend: score closer to -100. Neutral/choppy conditions: score near 0. Key features: Clear visual trend bias with color‑coded backgrounds to highlight strong trending vs ranging environments. Modular design: you can enable/disable ADX, RSI, MACD, or EMA filters individually to fit your strategy. On‑chart labels and/or table readout (depending on how you set it up) summarizing: Current trend direction (bullish/bearish/neutral). Trend strength level (weak, moderate, strong). Individual indicator statuses (e.g., ADX above/below threshold, RSI overbought/oversold, MACD in agreement or divergence). Built‑in alert conditions for: Strong bullish trend detected. Strong bearish trend detected. Transition from range to trend or trend to range. How traders can use it: As a filter: only take entries in the direction of a strong trend and avoid low‑strength environments. For timing: combine the trend score with your own entry triggers (price action, breakouts, etc.). For risk management: tighten stops or take partial profits when trend strength begins to fade toward neutral. This indicator is suitable for intraday, swing, and position traders across any market (forex, indices, crypto, stocks) and on any timeframe, with user‑friendly settings to adapt sensitivity to your style.Pine Script® indicatorby TRDRZone11
SPX Internals Bias by BullishSoulThis indicator shows intraday market bias using market internals. Green signal indicates bullish conditions and potential upside momentum. Red signal indicates bearish conditions and potential downside momentum. The tool is designed to help traders quickly identify market direction during the trading session and support intraday decision-making.Pine Script® indicatorby BullishsoulUpdated 0