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업데이트됨 Better Volume PRO v2.1 (Enhanced + Stats)(Adaptative metrics)

Better Volume PRO v2.0 - Quick Reference Guide
## ⚙️ OPTIMAL SETTINGS
```
Timeframe: 1 HOUR (best balance)
Lookback Period: 20
Min Confidence: 70% (85% in volatile markets)
MA Type: EMA
Stats Lookback: 10
Use True Range: ON
Use VWAP: ON
Filter Doji: ON
Multi-Bar Consistency: ON
```
## 🎯 SIGNAL CONDITIONS
### 🟢 BUY Signal
```
✓ Delta > 0 (more buying pressure)
✓ Confidence ≥ 70%
✓ Climax OR Hot Volume
```
### 🔴 SELL Signal
```
✓ Delta < 0 (more selling pressure)
✓ Confidence ≥ 70%
✓ Climax OR Hot Volume
```
### 🔥 HOT Volume
```
Volume > 160% of Volume MA
= Sudden capital influx
```
## 📊 CONFIDENCE SCORE (0-100%)
### Components:
- **40%** Structure (candle body vs wicks)
- **30%** VWAP coherence
- **20%** Volume relative to MA
- **10%** Multi-bar consistency
### Interpretation:
| Range | Quality | Accuracy | Action |
| --- | --- | --- | --- |
| **85-100%** | 🟢 MAXIMUM | 100% | Trade with full confidence |
| **70-85%** | 🟡 HIGH | 67% | Trade with caution |
| **50-70%** | 🟠 MEDIUM | 45% | Context only - don't trade |
| **<50%** | 🔴 LOW | 45% | Ignore completely |
## 📈 TABLE METRICS - QUICK REFERENCE
### CURRENT (single candle):
| Metric | Meaning | Good Value |
| --- | --- | --- |
| **Confidence** | Signal quality | ≥70% |
| **Delta** | Buy - Sell volume | Large absolute value |
| **Vol Excess** | % above MA | ≥60% = Hot |
### AGGREGATED (last N candles):
| Metric | Meaning | Bullish | Bearish |
| --- | --- | --- | --- |
| **Avg Confidence** | Average quality | >70% | >70% |
| **Cum. Delta** | Net accumulation | >0 (positive) | <0 (negative) |
| **Buy Pressure** | % buy candles | >60% | <40% |
| **Net Pressure** | Combined score | >+30 | <-30 |
| **High Conf Count** | Quality consistency | >5/10 | >5/10 |
| **Delta Momentum** | Delta acceleration | Increasing | Decreasing |
| **Volume Trend** | Volume vs avg | Increasing | Increasing |
## ✅ 4-STEP TRADING CHECKLIST
### STEP 1: Context Check (CRITICAL)
```
□ Avg Confidence >70%?
□ Net Pressure supports direction? (>+30 for LONG, <-30 for SHORT)
□ High Conf Count >50%?
If ANY = NO → SKIP THE TRADE
```
### STEP 2: Signal Validation
```
□ BUY or SELL signal present?
□ Confidence ≥70%? (≥85% preferred)
□ Hot Volume or Climax confirming?
```
### STEP 3: Metrics Alignment
```
FOR LONG:
□ Delta > 0 and large
□ Buy Pressure >50%
□ Cum. Delta positive
□ Net Pressure >+10
FOR SHORT:
□ Delta < 0 and large
□ Sell Pressure >50%
□ Cum. Delta negative
□ Net Pressure <-10
```
### STEP 4: Risk Management
```
□ Stop-loss set
□ Position sized based on confidence
□ Monitoring next bars
```
## 🚦 MARKET STATE INTERPRETATION
### 🟢 STRONG LONG SETUP
```
Signal: BUY
Confidence: ≥85%
Delta: Large positive
Net Pressure: >+50
Avg Confidence: >70%
Volume Trend: Increasing
→ TAKE LONG WITH HIGH CONVICTION
```
### 🔴 STRONG SHORT SETUP
```
Signal: SELL
Confidence: ≥85%
Delta: Large negative
Net Pressure: <-50
Avg Confidence: >70%
Volume Trend: Increasing
→ TAKE SHORT WITH HIGH CONVICTION
```
### 🟡 NEUTRAL / CHOPPY
```
Net Pressure: -30 to +30
Avg Confidence: <60%
High Conf Count: <5/10
→ NO TRADE - Wait for clarity
```
### ⚠️ CONTRADICTORY SIGNAL
```
Signal: BUY
BUT Net Pressure: Negative
AND Sell Pressure: >60%
OR Avg Confidence: <50%
→ SKIP - Isolated signal in bad context
```
## ⚡ QUICK TIPS
### DO ✅
- ✓ Use 1H timeframe (optimal)
- ✓ Only trade confidence ≥70%
- ✓ Check context BEFORE signal
- ✓ Combine with on-chain data (Nansen)
- ✓ Trade liquid tokens (>$1M volume)
- ✓ Use stop-loss always
### DON'T ❌
- ✗ Use 5-15min timeframes (too noisy)
- ✗ Ignore aggregated metrics
- ✗ Trade during strong corrections
- ✗ Use on illiquid tokens
- ✗ Trade all signals (quality > quantity)
- ✗ Over-optimize settings
## 🎨 VISUAL REFERENCE
### Signal Shapes:
- **▲ Green Triangle (bottom):** BUY Signal
- **▼ Red Triangle (top):** SELL Signal
- **♦ Orange Diamond (top):** HOT Volume
- **✕ Green/Red X:** Bullish/Bearish Divergence
### Volume Bars:
- **Green (up):** Buy Volume estimate
- **Red (down):** Sell Volume estimate
- **Colors by BV Class:**
- 🟣 Purple: Climax + Churn
- 🟢 Green: Climax Up
- 🔴 Red: Climax Down
- 🟡 Yellow: Churn
- 🔵 Blue: Low Volume
- ⚪ Gray: Normal
### Lines:
- **Yellow:** Volume MA
- **Green/Red (thick):** Delta (transparency = confidence)
- **Blue (thin):** Confidence line
- **Orange dashed:** Min Confidence threshold
## 📊 NET PRESSURE SCORE GUIDE
```
+80 to +100: 🟢🟢🟢 EXTREME BUYING (consider strong LONG)
+50 to +80: 🟢🟢 STRONG BUYING
+30 to +50: 🟢 MODERATE BUYING
-30 to +30: 🟡 NEUTRAL (no clear direction - WAIT)
-50 to -30: 🔴 MODERATE SELLING
-80 to -50: 🔴🔴 STRONG SELLING
-100 to -80: 🔴🔴🔴 EXTREME SELLING (consider strong SHORT)
```
## 🔬 EXPECTED ACCURACY
### Solo BV PRO:
- **Confidence ≥85%:** ~100% (limited samples)
- **Confidence ≥70%:** ~70%
- **Trending markets:** Better performance
- **Volatile corrections:** Lower performance (~40%)
### Combined BV PRO + On-Chain:
- **Expected:** ~80%+ accuracy
- **Filters false signals** from retail traps
- **Confirms institutional positioning**
## ⚠️ WHEN TO AVOID TRADING
```
✗ Avg Confidence <60% (choppy market)
✗ Net Pressure -30 to +30 (no clear direction)
✗ High Conf Count <30% (inconsistent signals)
✗ Volume Trend <-30% (drying liquidity)
✗ Strong market correction ongoing
✗ Major news event imminent
✗ Illiquid token (<$100K daily volume)
```
## 🎓 REMEMBER
1. **Context > Signal:** Never trade signal without checking aggregated metrics
2. **Quality > Quantity:** 7 high-quality signals >> 120 low-quality signals
3. **Combine Tools:** BV PRO (technical) + Nansen (on-chain) = Best results
4. **Risk Management:** Always use stop-loss, even with 100% confidence
5. **Market Conditions:** Indicator performs differently in trending vs choppy markets
---
**Version:** 2.0 | **Optimal TF:** 1H | **Min Confidence:** 70% (85% volatile)
**Created by:** Joe | **License:** Open Source
## ⚙️ OPTIMAL SETTINGS
```
Timeframe: 1 HOUR (best balance)
Lookback Period: 20
Min Confidence: 70% (85% in volatile markets)
MA Type: EMA
Stats Lookback: 10
Use True Range: ON
Use VWAP: ON
Filter Doji: ON
Multi-Bar Consistency: ON
```
## 🎯 SIGNAL CONDITIONS
### 🟢 BUY Signal
```
✓ Delta > 0 (more buying pressure)
✓ Confidence ≥ 70%
✓ Climax OR Hot Volume
```
### 🔴 SELL Signal
```
✓ Delta < 0 (more selling pressure)
✓ Confidence ≥ 70%
✓ Climax OR Hot Volume
```
### 🔥 HOT Volume
```
Volume > 160% of Volume MA
= Sudden capital influx
```
## 📊 CONFIDENCE SCORE (0-100%)
### Components:
- **40%** Structure (candle body vs wicks)
- **30%** VWAP coherence
- **20%** Volume relative to MA
- **10%** Multi-bar consistency
### Interpretation:
| Range | Quality | Accuracy | Action |
| --- | --- | --- | --- |
| **85-100%** | 🟢 MAXIMUM | 100% | Trade with full confidence |
| **70-85%** | 🟡 HIGH | 67% | Trade with caution |
| **50-70%** | 🟠 MEDIUM | 45% | Context only - don't trade |
| **<50%** | 🔴 LOW | 45% | Ignore completely |
## 📈 TABLE METRICS - QUICK REFERENCE
### CURRENT (single candle):
| Metric | Meaning | Good Value |
| --- | --- | --- |
| **Confidence** | Signal quality | ≥70% |
| **Delta** | Buy - Sell volume | Large absolute value |
| **Vol Excess** | % above MA | ≥60% = Hot |
### AGGREGATED (last N candles):
| Metric | Meaning | Bullish | Bearish |
| --- | --- | --- | --- |
| **Avg Confidence** | Average quality | >70% | >70% |
| **Cum. Delta** | Net accumulation | >0 (positive) | <0 (negative) |
| **Buy Pressure** | % buy candles | >60% | <40% |
| **Net Pressure** | Combined score | >+30 | <-30 |
| **High Conf Count** | Quality consistency | >5/10 | >5/10 |
| **Delta Momentum** | Delta acceleration | Increasing | Decreasing |
| **Volume Trend** | Volume vs avg | Increasing | Increasing |
## ✅ 4-STEP TRADING CHECKLIST
### STEP 1: Context Check (CRITICAL)
```
□ Avg Confidence >70%?
□ Net Pressure supports direction? (>+30 for LONG, <-30 for SHORT)
□ High Conf Count >50%?
If ANY = NO → SKIP THE TRADE
```
### STEP 2: Signal Validation
```
□ BUY or SELL signal present?
□ Confidence ≥70%? (≥85% preferred)
□ Hot Volume or Climax confirming?
```
### STEP 3: Metrics Alignment
```
FOR LONG:
□ Delta > 0 and large
□ Buy Pressure >50%
□ Cum. Delta positive
□ Net Pressure >+10
FOR SHORT:
□ Delta < 0 and large
□ Sell Pressure >50%
□ Cum. Delta negative
□ Net Pressure <-10
```
### STEP 4: Risk Management
```
□ Stop-loss set
□ Position sized based on confidence
□ Monitoring next bars
```
## 🚦 MARKET STATE INTERPRETATION
### 🟢 STRONG LONG SETUP
```
Signal: BUY
Confidence: ≥85%
Delta: Large positive
Net Pressure: >+50
Avg Confidence: >70%
Volume Trend: Increasing
→ TAKE LONG WITH HIGH CONVICTION
```
### 🔴 STRONG SHORT SETUP
```
Signal: SELL
Confidence: ≥85%
Delta: Large negative
Net Pressure: <-50
Avg Confidence: >70%
Volume Trend: Increasing
→ TAKE SHORT WITH HIGH CONVICTION
```
### 🟡 NEUTRAL / CHOPPY
```
Net Pressure: -30 to +30
Avg Confidence: <60%
High Conf Count: <5/10
→ NO TRADE - Wait for clarity
```
### ⚠️ CONTRADICTORY SIGNAL
```
Signal: BUY
BUT Net Pressure: Negative
AND Sell Pressure: >60%
OR Avg Confidence: <50%
→ SKIP - Isolated signal in bad context
```
## ⚡ QUICK TIPS
### DO ✅
- ✓ Use 1H timeframe (optimal)
- ✓ Only trade confidence ≥70%
- ✓ Check context BEFORE signal
- ✓ Combine with on-chain data (Nansen)
- ✓ Trade liquid tokens (>$1M volume)
- ✓ Use stop-loss always
### DON'T ❌
- ✗ Use 5-15min timeframes (too noisy)
- ✗ Ignore aggregated metrics
- ✗ Trade during strong corrections
- ✗ Use on illiquid tokens
- ✗ Trade all signals (quality > quantity)
- ✗ Over-optimize settings
## 🎨 VISUAL REFERENCE
### Signal Shapes:
- **▲ Green Triangle (bottom):** BUY Signal
- **▼ Red Triangle (top):** SELL Signal
- **♦ Orange Diamond (top):** HOT Volume
- **✕ Green/Red X:** Bullish/Bearish Divergence
### Volume Bars:
- **Green (up):** Buy Volume estimate
- **Red (down):** Sell Volume estimate
- **Colors by BV Class:**
- 🟣 Purple: Climax + Churn
- 🟢 Green: Climax Up
- 🔴 Red: Climax Down
- 🟡 Yellow: Churn
- 🔵 Blue: Low Volume
- ⚪ Gray: Normal
### Lines:
- **Yellow:** Volume MA
- **Green/Red (thick):** Delta (transparency = confidence)
- **Blue (thin):** Confidence line
- **Orange dashed:** Min Confidence threshold
## 📊 NET PRESSURE SCORE GUIDE
```
+80 to +100: 🟢🟢🟢 EXTREME BUYING (consider strong LONG)
+50 to +80: 🟢🟢 STRONG BUYING
+30 to +50: 🟢 MODERATE BUYING
-30 to +30: 🟡 NEUTRAL (no clear direction - WAIT)
-50 to -30: 🔴 MODERATE SELLING
-80 to -50: 🔴🔴 STRONG SELLING
-100 to -80: 🔴🔴🔴 EXTREME SELLING (consider strong SHORT)
```
## 🔬 EXPECTED ACCURACY
### Solo BV PRO:
- **Confidence ≥85%:** ~100% (limited samples)
- **Confidence ≥70%:** ~70%
- **Trending markets:** Better performance
- **Volatile corrections:** Lower performance (~40%)
### Combined BV PRO + On-Chain:
- **Expected:** ~80%+ accuracy
- **Filters false signals** from retail traps
- **Confirms institutional positioning**
## ⚠️ WHEN TO AVOID TRADING
```
✗ Avg Confidence <60% (choppy market)
✗ Net Pressure -30 to +30 (no clear direction)
✗ High Conf Count <30% (inconsistent signals)
✗ Volume Trend <-30% (drying liquidity)
✗ Strong market correction ongoing
✗ Major news event imminent
✗ Illiquid token (<$100K daily volume)
```
## 🎓 REMEMBER
1. **Context > Signal:** Never trade signal without checking aggregated metrics
2. **Quality > Quantity:** 7 high-quality signals >> 120 low-quality signals
3. **Combine Tools:** BV PRO (technical) + Nansen (on-chain) = Best results
4. **Risk Management:** Always use stop-loss, even with 100% confidence
5. **Market Conditions:** Indicator performs differently in trending vs choppy markets
---
**Version:** 2.0 | **Optimal TF:** 1H | **Min Confidence:** 70% (85% volatile)
**Created by:** Joe | **License:** Open Source
릴리즈 노트
Metrics tables positioning updateFull docs: github.com/bot-trading-project/better-volume-indicator.git
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보호된 스크립트입니다
이 스크립트는 비공개 소스로 게시됩니다. 하지만 이를 자유롭게 제한 없이 사용할 수 있습니다 – 자세한 내용은 여기에서 확인하세요.
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.