REBOTE PRO May//@version=5
indicator(title="REBOTE PRO EMA", overlay=true)
// === CONFIGURACIÓN ===
emaRapida = input.int(20, "EMA Rápida")
emaLenta = input.int(50, "EMA Lenta (Tendencia)")
rsiPeriodo = input.int(14, "RSI Periodo")
// === CÁLCULOS ===
emaFast = ta.ema(close, emaRapida)
emaSlow = ta.ema(close, emaLenta)
rsiVal = ta.rsi(close, rsiPeriodo)
// === CONDICIONES DE TENDENCIA ===
tendenciaAlcista = emaFast > emaSlow
tendenciaBajista = emaFast < emaSlow
// === CONDICIONES DE REBOTE ===
reboteBuy = tendenciaAlcista and low <= emaFast and close > emaFast and rsiVal > 40
reboteSell = tendenciaBajista and high >= emaFast and close < emaFast and rsiVal < 60
// === GRÁFICOS ===
plot(emaFast, color=color.orange, linewidth=2)
plot(emaSlow, color=color.red, linewidth=2)
// === SEÑALES ===
plotshape(reboteBuy,
title="BUY",
style=shape.triangleup,
location=location.belowbar,
color=color.lime,
size=size.small)
plotshape(reboteSell,
title="SELL",
style=shape.triangledown,
location=location.abovebar,
color=color.red,
size=size.small)
차트 패턴
Consecutive Lower Highs/Higher LowsThis indicator is a minimalist price-action tool designed to visualize Pullback depth and Trend Ignition directly on the chart. It eliminates the need to manually count candles, helping traders instantly identify "Green 2" pullback setups and "Red 1" trend continuations.
This tool is specifically designed to synchronize with MarketInOut or Finviz scanners that look for Lower Highs (Pullbacks) and Higher Lows (Trend).
How It Works
The indicator prints a simple count above or below the candles to visualize the current market structure:
1. The "Trap" / Pullback Count (Green Numbers)
Logic: Counts consecutive bars with Lower Highs.
Location: Appears above the candle.
Usage: Used to identify low-risk entry points in an existing uptrend. When you see a Green "2" or "3", it confirms the stock is in a controlled pullback (a "Quiet Trap") and may be ready for an entry if it breaks the previous high.
Default Setting: Starts counting at 2 (The classic "Green 2" setup).
2. The "Ignition" / Trend Count (Red Numbers)
Logic: Counts consecutive bars with Higher Lows.
Location: Appears below the candle.
Usage: Used to visualize trend strength. A Red "1" indicates the stock has made a higher low and is potentially resuming its uptrend ("Ignition"). It can also be used to manage trailing stops by exiting if the streak is broken.
Default Setting: Starts counting at 1.
Key Features
Zero Clutter: No moving averages, lines, or background shapes. Only the raw data you need to make a decision.
Dynamic Labels: Labels automatically adjust their distance from the candle based on volatility (ATR), ensuring they never overlap with the price action.
Scanner Sync: The input settings allow you to match the "Minimum Count" exactly to your screener settings (e.g., set Pullback minimum to 2 to match a lower_highs 2 scan).
Max History: Hard-coded to display the maximum allowable history (500 bars) for effective backtesting of your eye.
Settings
Minimum lower highs (Trap): Sets the threshold for showing Green numbers. (Default: 2)
Minimum higher lows (Ignition): Sets the threshold for showing Red numbers. (Default: 1)
Show Numbers: Toggles the visibility of the text labels.
Strategy Application
This script is ideal for Momentum Trap and Breakout traders (e.g., Minervini, Qullamaggie styles) who need to quickly verify if a stock meets the "2-day pullback" or "Trend Resume" criteria without manually checking High/Low values.
Institutional Grade Technical Analysis Support & Resistance levels with zones
✅ Uptrend lines (green, connecting lows)
✅ Downtrend lines (orange, connecting highs)
✅ Order blocks (purple zones)
✅ Swing points (triangles)
✅ Live dashboard with trade setup
Key levels by Chav3zNY-Time Anchored Sessions
Visualizes the Asia, London, and New York sessions using customizable boxes or high/low lines. Unlike standard session indicators, this tool uses the America/New York time zone to ensure your session start and end times remain accurate throughout Daylight Savings changes.
2. Dynamic HTF Key Levels (PDH/PDL, PWH/PWL, PMH/PML)
Automatically plots the Previous Daily, Weekly, and Monthly Highs and Lows.
Clean Intraday Origin: To prevent "chart clutter," these lines do not drag across the entire historical data. They originate at the start of the current day (NY Midnight), providing a clean horizontal reference for the current trading session.
Lookback Control: Choose how many days of historical key levels you want to remain visible on your chart.
3. Custom Time-Anchored Levels
Includes two fully customizable "Price Anchors" (e.g., Midnight Open, 09:30 AM NY Open).
Origin Point Precision: Lines start exactly at the candle of the specified time (e.g., 09:30) and extend forward, rather than drawing through the pre-market.
Price Capture: Choose to anchor to the Open, High, or Low of that specific timestamp.
4. Full Aesthetic Customization
Every level (Daily, Weekly, Monthly, and Custom) can be individually styled:
Color & Visibility: Set each level to your preferred color (Defaulted to Black for a clean look).
Line Style: Toggle between Solid, Dashed, or Dotted lines.
Thickness: Adjust the line width (1px, 2px, etc.) for better visibility on high-resolution screens.
How to Use
Midnight Open: Set Level 1 to 0000 to track the Daily Open, a crucial level for determining daily bias.
NY Open: Set Level 2 to 0930 to mark the "Opening Range" anchor for the New York session.
Liquidity Targets: Use the PDH/PDL and PWH/PWL levels to identify draw-on-liquidity areas for intraday scalp or swing setups.
Bulkowski Breakout vPRO (5m) - Runtime FixedHere is the English translation of your strategy guide, tailored for international traders while maintaining your encouraging tone.Strategy Guide: Bulkowski Breakout vPROFor Aspiring "Golden Traders"This strategy is designed for beginners to trade with the "flow of power." In short, it is a momentum-following strategy that enters a trade when a strong price move (Long Body Candle + High Volume) breaks through a key psychological level (200 EMA).1. Core Concept: "The High-Energy Breakout"Based on the principles of Thomas Bulkowski, a legendary master of chart patterns, this strategy prioritizes high-energy moves over simple price touches. A signal (LONG or SHORT) is only generated when these three conditions align:200 EMA Break (The Baseline): The 200-period Exponential Moving Average is the "life-line" of the market. Price breaking above this line indicates a powerful shift from a bearish to a bullish trend.Long Body Candle (Volatility): The candle body must be at least 2x larger than the recent average. This serves as evidence of institutional or "whale" buying/selling.Volume Surge (Reliability): Trading volume at the moment of breakout must be 1.5x higher than the recent average. This confirms the move is genuine and not a "fake-out."2. Session Filter (Optimized for Peak Volatility)To avoid "choppy" sideways markets, this strategy only operates during the first two hours of the major global market opens, when liquidity is at its highest.MarketTime (KST / UTC+9)Market CharacteristicsAsia Session09:00 ~ 11:00Opening of Korean, Japanese, and Chinese markets.Europe Session16:00 ~ 18:00Volatility spikes as the London market opens.US Session22:00 ~ 24:00Peak global liquidity as New York opens.Signals only appear when the chart background is shaded blue. All other times are "resting periods" to protect your capital.3. Execution GuideEntryLONG (Buy): Enter when a large green candle breaks above the yellow 200 EMA with high volume. (Green triangle label appears).SHORT (Sell): Enter when a large red candle breaks below the yellow 200 EMA with high volume. (Red triangle label appears).Take Profit (TP) & Stop Loss (SL)Lines are automatically drawn on your chart once you enter:Orange Line (Stop Loss): Automatically set at the low (or high) of the last 3 candles. If the price touches this, the trade closes to prevent further loss.Green Line (Take Profit): Automatically set at 1.5x your risk. This ensures a healthy 1:1.5 Risk-to-Reward ratio.4. Pro-Tips for BeginnersOptimized for 5m: This strategy works best on the 5-minute (5m) timeframe. 1m is often too noisy, and 15m can be too slow for scalping.Watch Bitcoin: Even if an altcoin gives a LONG signal, be cautious if Bitcoin is currently crashing. BTC dictates the overall market direction.Adjusting Sensitivity: If signals are too rare, go to "Settings" and lower the Long Body Multiplier from 2.0 to 1.5.This indicator is built to help you trade based on statistical advantages, not emotions. We strongly recommend practicing with Paper Trading first to get a feel for the signals.To everyone dreaming of becoming a Golden Trader—Success is a marathon, not a sprint!
Multi-Indicator SuiteMain Chart Overlay:
9, 20, and 200 EMAs - Each with customizable colors and visibility toggles
Intraday VWAP - Automatically resets daily to show intraday volume-weighted average price
Separate Indicator Panes:
RSI (14-period default) - With overbought (70) and oversold (30) levels, customizable length
MACD - With histogram, MACD line, and signal line (12/26/9 default settings)
Features:
All indicators have customizable settings through the indicator settings panel
Color-coded RSI (red when overbought, green when oversold)
MACD histogram changes color based on positive/negative values
Built-in alert conditions for EMA crossovers, RSI levels, and MACD crossovers
Toggle visibility for each component independently
Asian Liquidity Sweep + NY Reversal [NY Only]Asian Liquidity Sweep + NY Reversal
Concept
Asia builds a tight range → liquidity pool
London / early NY raids that liquidity (stop hunt)
New York delivers the real move in the opposite direction
Sessions utc+3
Asia range: 04:00 – 10:00
Liquidity sweep: London open → pre-NY (≈10:00–14:00)
Execution window: NY Kill Zone 15:00 – 18:00
Step-by-Step Model
Define Asia Range
Mark:
Asia High
Asia Low
Liquidity Sweep (Stop Hunt)
Price must do ONE of the following:
Sweep above Asia High → bullish liquidity taken
Sweep below Asia Low → bearish liquidity taken
NY Reversal Confirmation (Key Part)
Wait for NY Kill Zone and look for:
Strong rejection candle
Displacement / impulsive move back inside range
Optional: small internal structure break on lower TF
Entry Rules (High Probability)
🔻 If Asia High is swept:
Bias: SELL
Entry:
After NY rejection
On pullback to:
Discount zone / FVG
OR Asia High retest
SL: Above sweep high
TP:
Asia Low (TP1)
NY session low / next HTF liquidity (TP2)
If Asia Low is swept:
Bias: BUY
Entry:
NY rejection + displacement
Pullback to imbalance / Asia Low
SL: Below sweep low
TP:
Asia High
Daily high / premium liquidity
arrows/labels-will show when to buy or sell
signal-once per day
Use volume profile (max) for confirmation of entry point
Lets win together
Engulfing + Pinbar + Inside BarThis indicator combines three powerful candlestick patterns in one tool:
Engulfing Candles (Bullish & Bearish)
Pinbars / Hammers (Reversal signals)
Inside Bars (Consolidation + breakout setup)
Each pattern can be enabled or disabled individually through the settings panel.
Candle colors and labels help you quickly identify strong price action zones.
Michael Ultimate Open session/sentiment.Overview This indicator is a precision tool designed for intraday traders who need a complete overview of market time and structure in a single, compact panel. It combines Session Liquidity Levels with Multi-Timeframe Trend Analysis, allowing you to spot alignments between session ranges and the broader market direction instantly.
Key Features
1. Advanced Session Tracking The dashboard monitors three key trading sessions with custom operational hours:
Asia (23:00 - 06:00): Captures the overnight range.
London (08:00 - 11:00): Focuses on the European open volatility.
New York (14:30 - 16:30): Targets the US market overlap.
For each session, the dashboard calculates and displays real-time data:
High & Low: Crucial for liquidity sweeps and breakout targets.
Midpoint: The equilibrium level of the session, often acting as dynamic support/resistance.
Status: A visual "Traffic Light" (🟢 Open / 🔴 Closed) indicating if the specific window is currently active.
2. Multi-Timeframe Trend Correlation Instead of a generic trend filter, this tool links each session to a relevant higher timeframe to provide context:
Asia Row ➔ Daily Trend (D1): Shows the macro bias.
London Row ➔ 4-Hour Trend (H4): Shows the structural bias.
New York Row ➔ 15-Minute Trend (M15): Shows the immediate execution momentum.
3. Visual Logic & Design
EMA 50 Strategy: Trends are determined by price action relative to the 50 EMA (Green = Bullish, Red = Bearish).
Modern UI: Features a sleek, dark-themed aesthetic with semi-transparent backgrounds to keep your chart clean and professional.
Instant Read: Uses color-coded icons (🟢/🔴) so you can assess market conditions in milliseconds.
How to Use Use this dashboard to find confluence. For example, if the London Session opens while the H4 Trend is Bullish (Green), look for buy setups near the Asia Midpoint or Asia Low.
Settings
Fully customizable session times.
Adjustable EMA length (Default: 50).
Table position and size can be modified to fit your screen.
Opening Range SetupOpening Range Setup
Track the opening range and identify high-probability breakout setups with precision.
What It Does
This indicator identifies the high and low price range during the first X minutes of the trading
session (5, 15, 30, or 60 minutes) and projects these levels throughout the day. The opening
range acts as dynamic support and resistance, providing key reference points for intraday
trading decisions.
Key Features
✓ Customizable Range Period - Choose from 5, 15, 30, or 60-minute opening ranges
✓ Extension Levels - Display multiples of the range size (0.5x, 1x, 1.5x, 2x) as profit targets
✓ Breakout Detection - Automatically highlights the first candle that breaks above/below the
range
✓ Moving Average Filter - Built-in SMA/EMA trend filter to avoid counter-trend trades
✓ Visual Clarity - Clean box fills, labels, and customizable line styles
✓ Multiple Themes - Dark, Light, Bull/Bear, and Custom color schemes
How to Use
- Long Setup: Wait for price to break above OR High (preferably with price above MA)
- Short Setup: Wait for price to break below OR Low (preferably with price below MA)
- Range Trading: Use OR High/Low as fade levels when price stays within range
- Targets: Use extension levels for profit-taking zones
Settings
- Configurable session time (default: 9:30 AM - 4:00 PM NY)
- Toggle individual lines, fills, and breakout highlights
- Optional MA trend filter with adjustable length and type
Perfect for day traders looking for structured, rule-based setups on futures, stocks, and forex.
---
License: Mozilla Public License 2.0
XCO Asia Range - Mike CohenThe XCO Asia Range is a precision tool designed for professional traders who value a clean and minimalist chart. Unlike standard session indicators that clutter the screen with excessive lines and noise, this tool focuses exclusively on the Asia Session liquidity, following a "less is more" philosophy.
Developed with ICT and Smart Money concepts in mind, this indicator allows you to identify the Asia High and Asia Low liquidity pools without obstructing your price action analysis.
Key Features:
Minimalist Default State: By default, the indicator only displays a subtle, transparent session box. Lines and text are hidden to keep your workspace clean.
Independent Controls: You have full control to toggle the High Line, Low Line, High Label, and Low Label independently. Customize it exactly to your strategy.
Smart Visibility:
Timeframe Filter: Automatically hides on timeframes of 1 Hour or higher to prevent noise on higher timeframes.
Auto-Cleaning: Includes a "Lookback" feature (default: 2 days) that automatically removes old session data, keeping your chart performance fast and lightweight.
Customization: Fully adjustable colors, text sizes, and line extension capabilities for both the buy-side and sell-side liquidity.
How to use: Simply apply the indicator to your chart. Use the settings panel to activate the specific lines or labels you need for your daily bias analysis.
Credits: Created by MikeCohen_XCO.
NY Session Start & End LinesDraws a vertical line at the start and end of regular trading hours for the NY session.
Horizontal Line - XCO by (Mike Cohen)Professional ICT Session Indicator engineered by Mike Cohen (XCO Trading).
This tool features a custom Multi-Timeframe (MTF) Engine that ensures session levels remain rock-solid and visible even on 1-minute charts, eliminating the common "disappearing line" issue.
Key Features:
M1 Stability: Uses 5m data to project precise levels on lower timeframes without lag.
Smart Visibility: Automatically hides lines on H1+ charts to keep your macro analysis clean.
Minimalist Design: Solid lines with floating headers for a clutter-free institutional look.
Fully Customizable: Pre-configured for Asia, London, and NY sessions.
Michael LipsiusTitle: Michael Multi-Timeframe Trend Dashboard (HTF Bias & LTF Execution)
Description:
Overview This indicator is a specialized Top-Down Analysis tool designed to assist traders in identifying the dominant market direction across multiple timeframes instantly. Built around the principles of Michael's Trading Strategy and institutional trend following, this dashboard eliminates the noise and provides a clear, color-coded directional bias (Prognosis) for both High Time Frame (HTF) structure and Low Time Frame (LTF) momentum.
Core Functionality The dashboard generates a real-time matrix displayed directly on the chart, analyzing price action relative to the 50-period Exponential Moving Average (EMA). This specific metric is chosen to filter out minor fluctuations and reveal the true institutional flow of money.
1. High Time Frame (HTF) Prognosis – The "Compass" The indicator monitors the Daily (D1) and 4-Hour (H4) timeframes to establish the macro trend.
Bullish 🟢: Price is holding above the 50 EMA. This indicates that Smart Money is accumulating, and traders should focus primarily on Long setups.
Bearish 🔴: Price is trading below the 50 EMA. This suggests institutional distribution, meaning Short setups have a higher probability of success.
Purpose: The HTF modules act as your safety filter. By respecting the D1/H4 signals, you avoid trading against the major trend, significantly reducing the risk of being stopped out by macro flows.
2. Low Time Frame (LTF) Execution – The "Trigger" Simultaneously, the indicator analyzes the 1-Hour (H1) and 15-Minute (M15) timeframes.
These timeframes are crucial for timing entries and managing intraday volatility.
Conflict Warning: If the HTF is Bullish (Green) but the LTF is Bearish (Red), the market is likely in a pullback phase. This warns the trader to wait for the LTF to realign with the HTF before entering.
How to Use This Tool This dashboard is designed to be the first step in your trading routine:
Check Confluence: Look for a "Full Green" or "Full Red" board. When D1, H4, and H1 align, the probability of a successful trade increases exponentially.
Identify Pullbacks: If D1/H4 are Green, but M15 is Red, do not sell. Instead, treat this as a discount phase and wait for the M15 to flip back to Green for a high-precision entry.
Risk Management: Use the HTF bias to determine your risk exposure. Trade with full risk only when HTF and LTF are aligned.
Settings & Customization
Table Position: Fully adjustable (Top Right, Bottom Right, etc.) to fit your workspace.
EMA Period: Default is set to 50 (Standard Michael Strategy), but can be adjusted to fit other strategies.
Visuals: Clean, non-intrusive design with clear color coding for instant readability.
Disclaimer This tool is for informational purposes only and serves as a trend-confirmation aid. It should be used in conjunction with price action analysis, key levels, and proper risk management.
Horizontal Line - XCO by (Mike Cohen)Professional indicator designed for ICT trading sessions (Asia, London, NY). It features MTF (Multi-Timeframe) technology to visualize stable session levels on 1-minute charts without disappearing. Created by Mike Cohen for XCO Trading.
#XCO #MikeCohen
Minervini TT + IBD RS + ENTRY What this script does (overall)
This indicator implements a Minervini-style stock selection and entry system with mechanical risk control:
Trend Template (TT)
Uses 50 / 150 / 200 SMA alignment
Requires price to be above key moving averages
Ensures the stock is sufficiently above its 52-week low and not too far from its 52-week high
Relative Strength (IBD-style proxy vs TOPIX)
Compares the stock’s performance against TOPIX
Requires RS to be rising and making new relative highs
Detects RS breakdowns as “no-add / exit watch” warnings
ENTRY conditions (Pivot + Volume + VCP)
Breakout above a pivot high
Volume expansion on breakout
Volatility contraction using ATR% (VCP-like behavior)
Visual signals
BUY label: quality conditions pass
ENTRY label: valid breakout entry
RS BREAK label: relative strength deterioration
What was newly added / updated (important)
🔴 Mechanical stop-loss logic (NEW)
After each ENTRY signal, the script now:
Draws two horizontal stop-loss lines
SL -5% from the ENTRY bar’s high
SL -8% from the ENTRY bar’s high
Lines extend to the right automatically
Detects stop-loss touches
When price (low or close, configurable) crosses below:
SL -5% → SL5 trigger
SL -8% → SL8 trigger
Displays an upward arrow on the bar where each SL is touched
Sends alerts with fixed (const) messages
Handles multiple trades cleanly
If a stop-loss was hit and a new ENTRY appears later:
The previous SL lines are grayed out and dotted
Past exit markers (arrows) remain visible
Prevents inconsistent calculations by evaluating crossunders on every bar
👉 This enables fully mechanical, Minervini-style loss control without discretionary judgment.
XAUMO ECON DS OSCXAUMO — ECON DS OSC (XAUUSD)
DeltaProxy • Sweep/Reclaim • Sessions • MTF BlendNet • Dynamic Colors • BG Regimes • Alerts
Execution TF: 15m | Bias TF: 1H | Script Session TZ: Europe/London
EDUCATIONAL ONLY — Not financial advice — Not trade signals.
───────────────────────────────────────────
OVERVIEW
───────────────────────────────────────────
XAUMO — ECON DS OSC is a Demand/Supply pressure oscillator built for intraday
execution on gold. It converts candle structure + relative volume behavior into
three actionable lines (Demand, Supply, and a blended decision net), then adds
“proof layers” (session normalization, sweep/reclaim validation, imbalance
dominance filters, and MTF confluence) so you can separate real pressure from
noise.
This is NOT a “buy/sell arrow” script. It is a decision framework:
PRESSURE → PROOF → TRIGGER → ENTRY → RISK (SL1/SL2) → TARGETS (TP1/TP2)
───────────────────────────────────────────
WHAT YOU SEE ON THE CHART (3 LINES)
───────────────────────────────────────────
1) Demand (LTF) = buying pressure estimate
2) Supply (LTF) = selling pressure estimate
3) Net Blend (LTF+HTF) = decision line (institutional filter)
Definitions:
- LTF Net = Demand - Supply
- HTF Net = (HTF Demand - HTF Supply) on your chosen bias timeframe
- BlendNet = (1 - weight)*LTF Net + weight*HTF Net
Trader meaning:
- Demand above Supply = bullish pressure
- Supply above Demand = bearish pressure
- BlendNet = execution is 15m, bias is 1H (filter + confluence)
───────────────────────────────────────────
SCREENSHOT WALKTHROUGH (THE PROVIDED 15m/1H CHART)
───────────────────────────────────────────
On the attached chart:
- HTF Demand is above HTF Supply → the 1H bias is bullish
- LTF Demand stays above LTF Supply → local pressure supports the bias
- Net Blend stays positive → LTF pressure is aligned with HTF context
- “SW” markers show Sweep/Reclaim events → liquidity taken then reclaimed
- Background regimes highlight cross / net shift / sweep / dominance states
Use this to avoid one common mistake:
Do not chase tops. Wait for proof (SW/IMB) and enter on structure, not emotion.
───────────────────────────────────────────
PROOF LAYERS (WHY THIS IS NOT “JUST AN OSCILLATOR”)
───────────────────────────────────────────
1) Session Normalization (Europe/London)
Raw volume differs by session (Asia vs London vs NY). When enabled, the script
normalizes volume by session baselines so “high volume” means “high relative to
this session,” not an absolute number.
2) DeltaProxy Pressure Model (wick-aware)
For XAUUSD, wicks matter (stop-runs, liquidity grabs). DeltaProxy infers intent
from body direction + wick bias, then adjusts by ATR/spread (clamped) to avoid
fake extremes. Output is bounded for stability.
3) Sweep → Reclaim Validation (liquidity proof)
A sweep is only meaningful if price reclaims (closes back inside). You can use:
- Swing sweeps (structure)
- VWAP/VA sweeps (mean/value behavior)
- Gate sweeps (manual XAUMO levels)
- Any (broad coverage)
4) Imbalance Dominance Filter (validated triggers)
Imbalance logic confirms DOMINANCE using thresholds such as:
- ratio (Demand/Supply)
- dominance share
- z-score of net pressure vs baseline
Optional: require a sweep/reclaim proof before validating imbalance.
5) MTF BlendNet Confluence (15m execution filtered by 1H context)
The HTF net is blended into the LTF net via a weight:
Higher weight = safer/slower entries
Lower weight = faster/more aggressive entries
───────────────────────────────────────────
BACKGROUND REGIMES + MARKERS (FAST VISUAL READ)
───────────────────────────────────────────
Each background layer can be toggled ON/OFF:
BG #1 Cross (Demand/Supply) = early flips (fast, can whipsaw in chop)
BG #2 Net Cross (BlendNet) = stronger shift with HTF influence
BG #3 Sweep/Reclaim = liquidity-proof timing layer
BG #4 Imbalance Regime = dominance regime (avoid fading while active)
Markers:
- SW = sweep/reclaim event (proof)
- IMB D = bullish validated imbalance (dominance trigger)
- IMB S = bearish validated imbalance (dominance trigger)
───────────────────────────────────────────
ALERTS (SCANNING + EXECUTION)
───────────────────────────────────────────
A) Individual alerts (alertcondition)
Typical conditions:
- Bull/Bear Demand–Supply cross
- Bull/Bear Net Blend cross
- Bull/Bear Sweep/Reclaim
- Bull/Bear Validated Imbalance
B) Master alert() (dynamic message, recommended)
If you use dynamic values in the message, create alert using:
Create Alert → Condition → “Any alert() function call”
This is best for webhooks and execution bots.
───────────────────────────────────────────
PRACTICAL PLAYBOOK (HOW TRADERS USE IT)
───────────────────────────────────────────
Setup A — Continuation (intraday bread-and-butter)
1) 1H Bias clear:
Bull: HTF Demand > HTF Supply
Bear: HTF Supply > HTF Demand
2) BlendNet aligned and sloping (not flat)
3) Trigger:
Best: IMB validated in bias direction
Next: Net Cross in bias direction
4) Entry:
Trigger candle close OR first pullback after trigger (preferred)
5) Risk:
SL1 (mitigated) = beyond last 15m micro swing / reclaim reference
SL2 (tailgate) = beyond deeper structure OR ~1.2–1.5 ATR(15m)
6) Targets:
TP1 = first friction/reaction
TP2 = only while BlendNet remains aligned (no fading/flattening)
Setup B — Sweep → Reclaim Reversal (sniper)
1) SW prints (bull or bear)
2) Confirmation within 1–3 candles:
Best: IMB validated in sweep direction
OK: Cross after SW
3) Entry:
Reclaim close OR clean retest of reclaim reference
4) Risk:
SL1 = beyond swept level (reclaim ref)
SL2 = beyond next major structure swing
5) Targets:
TP1 = mean return / first friction
TP2 = only if BlendNet flips and holds
───────────────────────────────────────────
RISK MODEL (SL1 + SL2)
───────────────────────────────────────────
SL1 (mitigated) = “trade idea is wrong quickly” (tight structural stop)
SL2 (tailgate) = “survive spikes” (deeper structure / ATR emergency stop)
TP1 = reduce risk and pay yourself
TP2 = only if BlendNet stays aligned and not fading
If you did not define SL1 and SL2 before entry, do not enter.
───────────────────────────────────────────
NOTES / LIMITATIONS
───────────────────────────────────────────
- This is an indicator, not a guarantee of performance.
- Volume/wick inference depends on feed quality.
- Session normalization may require tuning per broker/feed.
- Close-confirmed logic reduces false triggers, but chop can still whipsaw.
───────────────────────────────────────────
DISCLAIMER
───────────────────────────────────────────
EDUCATIONAL ONLY — Not financial advice — Not trade signals.
Trading involves substantial risk, including the risk of loss.
You are responsible for your own decisions, risk management, and execution.
───────────────────────────────────
───────────────────────────────────
───────────────────────────────────
XAUMO — ECON DS OSC (XAUUSD)
DeltaProxy • Sweep/Reclaim • Sessions • MTF BlendNet • Dynamic Colors • BG Regimes • Alerts
إطار التنفيذ: 15 دقيقة | إطار الانحياز: 1 ساعة | توقيت الجلسات داخل السكربت: Europe/London
للتعليم فقط — ليس نصيحة مالية — ليس إشارات تداول.
───────────────────────────────────────────
نظرة عامة
───────────────────────────────────────────
XAUMO — ECON DS OSC هو أوسيليتور ضغط طلب/عرض مصمم لتنفيذ تداولات الذهب داخل
اليوم. يقوم بتحويل بنية الشمعة + سلوك الحجم النسبي إلى 3 خطوط عملية (الطلب،
العرض، وصافي قرار ممزوج)، ثم يضيف “طبقات إثبات” (تطبيع الجلسات، تحقق
Sweep/Reclaim، فلاتر سيادة عدم التوازن، وتوافق متعدد الأطر) حتى تميّز الضغط
الحقيقي من الضوضاء.
هذا ليس سكربت “أسهم شراء/بيع”. هذا إطار قرار واضح:
ضغط → إثبات → زناد → دخول → مخاطرة (SL1/SL2) → أهداف (TP1/TP2)
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ماذا ترى على الشارت (3 خطوط)
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1) الطلب (LTF) = تقدير ضغط الشراء
2) العرض (LTF) = تقدير ضغط البيع
3) صافي Blend (LTF+HTF) = خط القرار (فلتر “مؤسسي”)
التعريفات:
- صافي LTF = الطلب - العرض
- صافي HTF = (طلب HTF - عرض HTF) على إطار الانحياز المختار
- BlendNet = (1 - الوزن)*صافي LTF + الوزن*صافي HTF
المعنى للمتداول:
- الطلب فوق العرض = ضغط صاعد
- العرض فوق الطلب = ضغط هابط
- BlendNet = التنفيذ 15د، والانحياز 1س (فلتر + توافق)
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شرح اللقطة (الشارت المرفق 15م/1س)
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على الشارت المرفق:
- طلب HTF أعلى من عرض HTF → الانحياز على 1س صاعد
- طلب LTF يظل أعلى من عرض LTF → الضغط المحلي يدعم الانحياز
- صافي Blend يظل موجب → ضغط 15د متوافق مع سياق 1س
- علامات “SW” تُظهر أحداث Sweep/Reclaim → سيولة تُسحب ثم تُستعاد بالإغلاق
- أنظمة الخلفية تُبرز حالات: تقاطع / تحوّل صافي / سويب / سيادة
قاعدة عملية لتجنب خطأ شائع:
لا تطارد القمم. استنَ الإثبات (SW/IMB) وادخل على بنية مؤكدة، لا على انفعال.
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طبقات الإثبات (لماذا هذا ليس “أوسيليتور عادي”)
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1) تطبيع الجلسات (Europe/London)
الحجم الخام يختلف بين الجلسات (آسيا/لندن/نيويورك). عند تفعيل التطبيع يقوم
السكربت بتطبيع الحجم بخطوط أساس لكل جلسة، فيصبح “حجم مرتفع” = مرتفع مقارنة
بهذه الجلسة، وليس رقمًا مطلقًا.
2) نموذج الضغط DeltaProxy (ذكي مع الذيول)
في الذهب، الذيول مهمة (Stop-runs وسحب سيولة). DeltaProxy يستنتج النية من
اتجاه الجسم + انحياز الذيول، ثم يضبط بعامل ATR/Spread (ضمن حدود) لتجنب
التطرفات الوهمية. الناتج محدود لاستقرار أفضل.
3) تحقق Sweep → Reclaim (إثبات السيولة)
السويب لا يهم إلا إذا حدث Reclaim (إغلاق داخل النطاق مرة أخرى). يمكنك اختيار:
- Swing sweeps (بنية/سوينجات)
- VWAP/VA sweeps (قيمة/متوسط)
- Gate sweeps (مستويات XAUMO اليدوية)
- Any (تغطية واسعة)
4) فلتر سيادة عدم التوازن (Triggers مُتحققة)
منطق عدم التوازن يؤكد “السيادة” باستخدام عتبات مثل:
- Ratio (الطلب/العرض)
- Dominance Share (حصة السيطرة)
- Z-Score لصافي الضغط مقابل خط الأساس
اختياري: اشتراط وجود Sweep/Reclaim قبل اعتماد عدم التوازن.
5) توافق متعدد الأطر عبر BlendNet (تنفيذ 15د مفلتر بسياق 1س)
يتم مزج صافي HTF داخل صافي LTF عبر وزن:
وزن أعلى = دخول أأمن/أبطأ
وزن أقل = دخول أسرع/أكثر عدوانية
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أنظمة الخلفية + العلامات (قراءة بصرية سريعة)
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يمكن تفعيل/تعطيل كل طبقة خلفية:
BG #1 تقاطع الطلب/العرض = قلب مبكر (سريع وقد يضرب في التذبذب)
BG #2 تقاطع الصافي BlendNet = تحوّل أقوى بتأثير HTF
BG #3 Sweep/Reclaim = طبقة توقيت بإثبات سيولة
BG #4 نظام عدم التوازن = سيادة (تجنب معاكسة الطرف المسيطر)
العلامات:
- SW = حدث Sweep/Reclaim (إثبات)
- IMB D = عدم توازن صاعد مُتحقق (زناد سيادة)
- IMB S = عدم توازن هابط مُتحقق (زناد سيادة)
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التنبيهات (Scanning + Execution)
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A) تنبيهات فردية (alertcondition)
أمثلة شائعة:
- تقاطع صاعد/هابط بين الطلب والعرض
- تقاطع صاعد/هابط لصافي BlendNet
- Sweep/Reclaim صاعد/هابط
- عدم توازن مُتحقق صاعد/هابط
B) تنبيه رئيسي عبر alert() (رسالة ديناميكية — مُفضل)
إذا كانت رسالتك تحتوي قيَم ديناميكية، أنشئ التنبيه باستخدام:
Create Alert → Condition → “Any alert() function call”
وهذا أفضل للـwebhooks وبوتات التنفيذ.
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دليل عملي (كيف يستخدمه المتداولون)
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Setup A — استمرار مع الانحياز (شغل اليوم)
1) انحياز 1س واضح:
صاعد: طلب HTF > عرض HTF
هابط: عرض HTF > طلب HTF
2) BlendNet متوافق ومائل (غير مسطح)
3) الزناد:
الأفضل: IMB مُتحقق في اتجاه الانحياز
التالي: تقاطع صافي في اتجاه الانحياز
4) الدخول:
إغلاق شمعة الزناد أو أول Pullback بعدها (مُفضل)
5) المخاطرة:
SL1 (مخفف) = وراء آخر Micro Swing على 15د / مرجع الـReclaim
SL2 (Tailgate) = وراء بنية أعمق أو ~1.2–1.5 ATR(15m)
6) الأهداف:
TP1 = أول احتكاك/رد فعل
TP2 = فقط طالما BlendNet متوافق (لا بهتان/لا تسطح)
Setup B — سويب ثم استرجاع (قنّاص انعكاس)
1) ظهور SW (صاعد أو هابط)
2) تأكيد خلال 1–3 شمعات:
الأفضل: IMB مُتحقق في اتجاه السويب
مقبول: تقاطع بعد SW
3) الدخول:
إغلاق الـReclaim أو إعادة اختبار نظيفة لمرجع الـReclaim
4) المخاطرة:
SL1 = وراء المستوى المسحوب (مرجع الـReclaim)
SL2 = وراء سوينج بنيوي أكبر
5) الأهداف:
TP1 = رجوع للمتوسط / أول احتكاك
TP2 = فقط إذا BlendNet انقلب وثبت
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نموذج المخاطرة (SL1 + SL2)
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SL1 (مخفف) = “فكرة الصفقة غلط بسرعة” (ستوب بنيوي قريب)
SL2 (Tailgate) = “تحمّل السبايكس” (بنية أعمق / ستوب طوارئ ATR)
TP1 = خفف المخاطرة وادفع نفسك
TP2 = فقط إذا BlendNet يظل متوافقًا ولا يبهت
لو لم تحدد SL1 وSL2 قبل الدخول، لا تدخل.
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ملاحظات / حدود الاستخدام
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- هذا مؤشر، وليس ضمانًا لأي نتائج.
- استنتاج الحجم/الذيول يعتمد على جودة الـFeed.
- تطبيع الجلسات قد يحتاج ضبط حسب الوسيط/البيانات.
- منطق الإغلاق المؤكد يقلل الإشارات الكاذبة، لكن التذبذب قد يسبب Whipsaws.
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إخلاء مسؤولية
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للتعليم فقط — ليس نصيحة مالية — ليس إشارات تداول.
التداول ينطوي على مخاطر كبيرة بما فيها خسارة رأس المال.
أنت مسؤول عن قراراتك وإدارة المخاطر والتنفيذ.
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Input explanation and recommended defaults
Core (keep for most US large caps):
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-N=20, p=3, K=5: aligns to 4 trading days–1 week reversal follow-through on 1D.
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Large-cap / ETFs (SPY/QQQ constituents):
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-Keep WickMult ~1.0, N=20–26, K=4–6.
Mid / Small-cap (more noise, more gaps):
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Weekly timeframe (1W):
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