Multi-Timeframe Stochastic (4x) z Podświetlaniemnowy skrypt bez etykietek o wyprzedaniu i wykupieniu
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ADOLFO'S NINJA TURTLE SOUPThis indicator signals when there is a turtle soup of m30 in the NY session following the trend of a supertrend indicator in a 1-hour time interval, being excellent for taking RR trades 1 to 1. Created by Engineer Adolfo Pérez Espinoza.
Multi-Timeframe Stochastic (4x) z PodświetlaniemStochastic z możliwością paru tfów gdzie jak są w danej strefie to podświetla
Trading Sessions with 15 minute ORBA working copy of the original Tradingview trading sessions indicator with the addition of horizontal lines marking the 15 minute opening range for your ORB strategy. The lines reset with each session start.
Aktien Spike Detector by DavidDescription:
This indicator marks the daily high and low on the chart and provides a visual and audible alert whenever the current price touches either of these levels. Additionally, the indicator highlights the candlestick that reaches the daily high or low to quickly identify significant market movements or potential reversal points.
Features:
📈 Daily high and low are automatically calculated and displayed as lines on the chart.
🔔 Alert notification when the price touches the daily high or low.
🕯️ Highlighting of the touch candlestick (e.g., color-coded) for better visual orientation.
💡 Ideal for traders trading breakouts, rejections, or intraday reversals.
Areas of application:
Perfect for day traders, scalpers, and intraday analysts who want to see precisely when the market reaches key daily levels.
CE+ZLSMA RovTrading StrateryThe strategy is optimized for scalping in small timeframes like M15 and M30, as well as M5.
It combines two indicators: CE and ZLSMA.
Try it now!
Elliott Wave (𝐒𝐓𝐄𝐄𝐋 𝐂𝐈𝐓𝐘 𝐂𝐑𝐄𝐀𝐓𝐎𝐑𝐒)This indicator provides a rules-based helper for visually identifying potential Elliott Wave patterns — including 1–5 impulse structures and optional A–B–C corrective moves. It automatically detects pivot highs/lows using the user-defined left/right swing settings and connects them with a ZigZag line filtered by either ATR or percentage change to reduce market noise.
When a valid 5-wave impulse structure is found (either bullish or bearish), the indicator labels waves 1–5 on the chart. After completion of the fifth wave, it optionally monitors for an A–B–C corrective pattern and labels those points when detected. Alerts are generated when an impulse or correction is confirmed.
Features
✅ Automatic pivot detection using configurable left/right swing bars.
✅ ATR or %-based swing filter to avoid small fluctuations.
✅ ZigZag plotting to visualize price structure.
✅ Automatic labeling of potential Elliott impulse waves (1–5).
✅ Optional A–B–C correction detection after wave 5.
✅ Alerts when impulses and corrections complete.
✅ Customizable visuals (colors, sensitivity, pivot length).
✅ Works on all symbols and timeframes.
Usage Tips
For best results, use larger timeframes (e.g., 1H–1D) where Elliott structures are cleaner.
Adjust Pivot Left/Right and ATR Multiplier for your chart’s volatility.
Remember: Elliott Wave theory is interpretive — this tool provides objective swing logic to assist manual analysis, not a guaranteed automatic wave count.
Dammu AI PROType & Purpose
Multi-functional trend, swing, and smart money concept indicator.
Combines SuperTrend, SMA, ATR-based risk management, swing structures, order blocks, EQH/EQL, and Fair Value Gaps (FVG).
Designed for identifying trends, entries/exits, and support/resistance zones.
2. Trend Detection
SuperTrend with ATR smoothing (nsensitivity*7 factor) for buy/sell signals.
SMA filter (8 & 9 periods) confirms trend strength.
Bar color changes:
Green if close > supertrend.
Red if close < supertrend.
Cirrus Cloud highlights trend zones with semi-transparent colors.
3. Swing & Structure
Detects pivot highs/lows and labels them as HH/LH (Highs), HL/LL (Lows).
Generates BOS (Break of Structure) and CHoCH (Change of Character) signals.
Internal swing structures and order blocks for short-term intraday moves.
4. Order Blocks
Internal Order Blocks (iOBs) and Swing Order Blocks (OBs).
Boxes drawn for bullish/bearish zones.
Auto-delete when broken.
Option to filter blocks by ATR or Cumulative Mean Range.
5. Risk Management
TP/SL levels based on ATR and user-defined % risk.
Shows lines and labels for:
Entry
Stop Loss
TP1, TP2, TP3
Adjustable line style (solid/dashed/dotted).
6. Fair Value Gaps (FVG)
Highlights bullish and bearish gaps.
Option for auto-threshold filtering.
Extendable FVG boxes.
7. EQH/EQL
Detects Equal Highs (EQH) and Equal Lows (EQL) for potential reversals.
Dotted lines with labels.
8. Smart Money Concepts (SMC) Features
Shows:
Swings (internal & swing structure)
Internal order blocks
Premium/Discount zones
Fair Value Gaps
Highs/Lows from previous day/week/month
Configurable for historical vs present display.
9. Alerts
Buy/Sell triggers:
bull = crossover of close above SuperTrend.
bear = crossunder of close below SuperTrend.
Alerts for BOS/CHoCH, EQH/EQL, and OB breaks.
10. Visualization
Trend clouds, colored bars, SMA markers, SuperTrend labels.
Multi-layered info displayed without cluttering the chart.
Customizable colors, line styles, and transparency.
✅ Summary:
This indicator is a comprehensive trading tool for trend detection, swing structure, order block analysis, and risk management. It’s built for smart money and SMC-based trading, offering visual cues and alerts for key trading decisions.
Matt Market EfficiencyThis is a custom Pine Script v5 indicator for TradingView that creates a Market Efficiency Heatmap as a background overlay on your chart. It visualizes how "efficient" the market's price movement is over a specified period—essentially measuring how much of the total price volatility (wiggle room) resulted in net directional progress, weighted with volume activity.
High efficiency (stronger, less transparent color) indicates a clean trend with minimal wasted movement (e.g., a strong uptrend or downtrend).
Low efficiency (fainter color) suggests choppy, inefficient price action (e.g., ranging or noisy market).
Color coding: Teal for bullish (net price up), Purple for bearish (net price down).
The heatmap intensity scales from 1% opacity (very low efficiency) to 25% opacity (high efficiency), making it subtle yet informative without overwhelming the chart.
多周期趋势动量面板加强版(Multi-Timeframe Trend Momentum Panel - User Guide)多周期趋势动量面板(Multi-Timeframe Trend Momentum Panel - User Guide)(english explanation follows.)
📖 指标功能详解 (精简版):
🎯 核心功能:
1. 多周期趋势分析 同时监控8个时间周期(1m/5m/15m/1H/4H/D/W/M)
2. 4维度投票系统 MA趋势+RSI动量+MACD+布林带综合判断
3. 全球交易时段 可视化亚洲/伦敦/纽约交易时间
4. 趋势强度评分 0100%量化市场力量
5. 智能警报 强势多空信号自动推送
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📚 重要名词解释:
🔵 趋势状态 (MA均线分析):
名词 含义 信号强度
强势多头 快MA远高于慢MA(差值≥0.35%) ⭐⭐⭐⭐⭐ 做多
多头倾向 快MA略高于慢MA(差值<0.35%) ⭐⭐⭐ 谨慎做多
震荡 快慢MA缠绕,无明确方向 ⚠️ 观望
空头倾向 快MA略低于慢MA ⭐⭐⭐ 谨慎做空
强势空头 快MA远低于慢MA ⭐⭐⭐⭐⭐ 做空
简单理解: 快MA就像短跑运动员(反应快),慢MA是长跑运动员(稳定)。短跑远超长跑=强势多头,反之=强势空头。
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🟠 动量状态 (RSI力度分析):
名词 含义 操作建议
动量上攻↗ RSI>60且快速上升 强烈买入信号
动量高位 RSI>60但上升变慢 警惕回调,可减仓
动量中性 RSI在4060之间,平稳 等待方向明确
动量低位 RSI<40但下跌变慢 警惕反弹,可止盈
动量下压↘ RSI<40且快速下降 强烈卖出信号
简单理解: RSI就像汽车速度表。"动量上攻"=油门踩到底加速,"动量高位"=已经很快但不再加速了。
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🟣 辅助信号:
MACD:
• MACD多头 = 柱状图>0 = 买方力量强
• MACD空头 = 柱状图<0 = 卖方力量强
布林带(BB):
• BB超买 = 价格在布林带上轨附近 = 可能回调
• BB超卖 = 价格在布林带下轨附近 = 可能反弹
• BB中轨 = 价格在中间位置 = 平衡状态
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💡 快速上手 3步看懂面板:
第1步: 看"综合结论标签" (K线上方)
• 绿色"多头占优" → 可以做多
• 红色"空头占优" → 可以做空
• 橙色"震荡/均衡" → 观望
第2步: 看"票数 多/空" (面板最下方)
• 多头票数远大于空头 (差距>2) → 趋势强
• 票数接近 (差距<1) → 震荡市
第3步: 看"趋势强度" (综合标签中)
• 强度>70% → 强势趋势,可重仓
• 强度5070% → 中等趋势,正常仓位
• 强度<50% → 弱势,轻仓或观望
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🎨 时段背景色含义:
• 紫色背景 = 亚洲时段 (东京交易时间) 波动较小
• 橙色背景 = 伦敦时段 (欧洲交易时间) 波动增大
• 蓝色背景 = 纽约凌晨 美盘准备阶段
• 红色背景 = 纽约关键5分钟 (09:3009:35) ⚠️ 最重要! 市场最活跃,趋势易形成
• 绿色背景 = 纽约上午后段 延续早盘趋势
交易建议: 重点关注红色关键时段,这5分钟往往决定全天方向!
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⚙️ 三大市场推荐设置
🥇 黄金: Hull MA 12/EMA 34, 阈值0.250.35%
₿ 比特币: EMA 21/EMA 55, 阈值0.801.20%
💎 以太坊: TEMA 21/EMA 55, 阈值0.600.80%
参数优化建议
黄金 (XAUUSD)
快速MA: Hull MA 12 (超灵敏捕捉黄金快速波动)
慢速MA: EMA 34 (斐波那契数列)
RSI周期: 9 (加快反应)
强趋势阈值: 0.25%
周期: 5, 15, 60, 240, 1440
比特币 (BTCUSD)
快速MA: EMA 21
慢速MA: EMA 55
RSI周期: 14
强趋势阈值: 0.8% (波动大,阈值需提高)
周期: 15, 60, 240, D, W
外汇 EUR/USD
快速MA: TEMA 10 (快速响应)
慢速MA: T3 30, 因子0.7 (平滑噪音)
RSI周期: 14
强趋势阈值: 0.08% (外汇波动小)
周期: 5, 15, 60, 240, 1440
📖 Indicator Function Details (Concise Version):
🎯 Core Functions:
1. MultiTimeframe Trend Analysis Monitors 8 timeframes simultaneously (1m/5m/15m/1H/4H/D/W/M)
2. 4Dimensional Voting System Comprehensive judgment based on MA trend + RSI momentum + MACD + Bollinger Bands
3. Global Trading Sessions Visualizes Asia/London/New York trading hours
4. Trend Strength Score Quantifies market strength from 0100%
5. Smart Alerts Automatically pushes strong bullish/bearish signals
📚 Key Term Explanations:
🔵 Trend Status (MA Analysis):
| Term | Meaning | Signal Strength |
| | | |
| Strong Bull | Fast MA significantly > Slow MA (Diff ≥0.35%) | ⭐⭐⭐⭐⭐ Long |
| Bullish Bias | Fast MA slightly > Slow MA (Diff <0.35%) | ⭐⭐⭐ Caution Long |
| Ranging | MAs intertwined, no clear direction | ⚠️ Wait & See |
| Bearish Bias | Fast MA slightly < Slow MA | ⭐⭐⭐ Caution Short |
| Strong Bear | Fast MA significantly < Slow MA | ⭐⭐⭐⭐⭐ Short |
Simple Understanding: Fast MA = sprinter (fast reaction), Slow MA = longdistance runner (stable). Sprinter far ahead = Strong Bull, opposite = Strong Bear.
🟠 Momentum Status (RSI Analysis):
| Term | Meaning | Trading Suggestion |
| | | |
| Momentum Up ↗ | RSI >60 & rising rapidly | Strong Buy Signal |
| Momentum High | RSI >60 but rising slower | Watch for pullback, consider reducing position |
| Momentum Neutral | RSI between 4060, stable | Wait for clearer direction |
| Momentum Low | RSI <40 but falling slower | Watch for rebound, consider taking profit |
| Momentum Down ↘ | RSI <40 & falling rapidly | Strong Sell Signal |
Simple Understanding: RSI = car speedometer. "Momentum Up" = full throttle acceleration, "Momentum High" = already fast but not accelerating further.
🟣 Auxiliary Signals:
MACD:
MACD Bullish = Histogram >0 = Strong buyer power
MACD Bearish = Histogram <0 = Strong seller power
Bollinger Bands (BB):
BB Overbought = Price near upper band = Possible pullback
BB Oversold = Price near lower band = Possible rebound
BB Middle = Price near middle band = Balanced state
💡 Quick Start 3 Steps to Understand the Panel:
Step 1: Check "Composite Conclusion Label" (Above the chart)
Green "Bulls Favored" → Consider Long
Red "Bears Favored" → Consider Short
Orange "Ranging/Balanced" → Wait & See
Step 2: Check "Votes Bull/Bear" (Bottom of the panel)
Bull votes significantly > Bear votes (Difference >2) → Strong Trend
Votes close (Difference <1) → Ranging Market
Step 3: Check "Trend Strength" (In the composite label)
Strength >70% → Strong Trend, consider heavier position
Strength 5070% → Moderate Trend, normal position size
Strength <50% → Weak Trend, light position or wait & see
🎨 Trading Session Background Color Meanings:
Purple = Asian Session (Tokyo hours) Lower volatility
Orange = London Session (European hours) Increased volatility
Blue = NY Early Morning US session preparation phase
Red = NY Critical 5 Minutes (09:3009:35) ⚠️ Most Important! Market most active, trends easily form
Green = NY Late Morning Continuation of early session trend
Trading Tip: Focus on the red critical period; these 5 minutes often determine the day's direction!
⚙️ Recommended Settings for Three Major Markets
🥇 Gold (XAUUSD):
Fast MA: Hull MA 12 (Highly sensitive for gold's fast moves)
Slow MA: EMA 34 (Fibonacci number)
RSI Period: 9 (Faster reaction)
Strong Trend Threshold: 0.25%
Timeframes: 5, 15, 60, 240, 1440
₿ Bitcoin (BTCUSD):
Fast MA: EMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.8% (High volatility, requires higher threshold)
Timeframes: 15, 60, 240, D, W
💎 Ethereum (ETHUSD):
Fast MA: TEMA 21
Slow MA: EMA 55
RSI Period: 14
Strong Trend Threshold: 0.600.80%
Timeframes: 15, 60, 240, D, W
💱 Forex EUR/USD:
Fast MA: TEMA 10 (Fast response)
Slow MA: T3 30, Factor 0.7 (Smooths noise)
RSI Period: 14
Strong Trend Threshold: 0.08% (Forex has low volatility)
Timeframes: 5, 15, 60, 240, 1440
Countdown, Trading Volume, Price, Time Period"Volume and Price Countdown Code: This code will display colors according to the closing status of different timeframes."
Swing High/Low ExtensionsSwing High/Low — Extensions (2 Plots + Drawings + Touch Signal)
What it does
This indicator finds Swing Highs/Lows using a symmetric length (same bars left & right), then creates horizontal extension levels that run to the right and stop at the first price touch (“extend until future intersection”).
It outputs:
Two plots showing the most recent active High/Low extension (great for alerts & strategy logic).
Line drawings for every detected swing (historical levels stay on the chart and end at the touch bar).
A hidden TouchSignal used to color bars and trigger alerts without distorting the price scale.
The design mirrors Sierra Chart’s “Swing High and Low” with “Extend Swings Until Future Intersection”, but implemented natively in Pine.
How it determines swings
Uses ta.pivothigh() / ta.pivotlow() with length bars left and right.
A swing is confirmed only after there are length bars to the right of the center.
How extensions/lines end
High extensions end when High ≥ level.
Low extensions end when Low ≤ level.
The corresponding line drawing is frozen on the touch bar; the most recent active line continues to extend each new bar.
Inputs
Swing Strength (Bars Left = Right) – symmetric pivot length.
Offset as Percentage – 1 = +1%; positive values push levels outward (High up / Low down), negative pull them inward.
Draw “Extend…Until Future Intersection” Lines – toggle line drawings on/off.
Line Width (Plots + Drawings) – thickness for plots and drawings.
HighExt Color / LowExt Color – colors for the two plots and drawings.
Touch Color – color to paint bars on the touch bar (doesn’t affect scale).
HighExt/LowExt Line Style – choose line style (Solid/Dashed/Dotted) for drawings.
Color Bars on Touch? – enable/disable bar coloring.
Bar Color on High Touch / Low Touch – separate bar colors for each side.
Bar Color Transparency (0..100) – opacity for the bar painting.
Plots
HighExt – latest active high extension only.
LowExt – latest active low extension only.
(Internally there is also a hidden “TouchSignal” plot used for bar coloring & alerts; it’s not displayed to keep the chart scale clean.)
Alerts
Three built-in alertconditions:
Any Extension Touched — triggers when either side is hit.
High Extension Touched — only high level touch.
Low Extension Touched — only low level touch.
Create alerts from the indicator’s “More” (⋯) menu → Add alert → choose one of the conditions.
Styling
Drawings use your selected style (Solid/Dashed/Dotted), color, and width.
Existing historical lines adopt new styles when the script recalculates.
Bar coloring highlights the exact touch candle; disable it if you prefer clean candles.
Notes & tips
Scale-safe: the TouchSignal is hidden (display=none), so it won’t distort the Y-axis.
Performance: TradingView limits scripts to ~500 line objects; this script uses max_lines_count=500. If you hit the cap on long histories, either increase timeframe or disable drawings and rely on the two plots + alerts.
Works on any symbol/timeframe; levels are rounded to the instrument’s minimum tick.
Intended use
For discretionary levels, alerting, and rule-based entries that react to first touch of recent swing extensions. Not financial advice—use at your own risk.
Buy/Sell Signals [WynTrader]My name is WynTrader. I cumulate 24 years of experience.
This Indicator produces Buy/Sell Signals using these features:
- Fast and Slow Moving averages (modifiable) optimized at EMA-8 and SMA-35
- Bollinger Bands (modifiable) optimized at Basis-18 and Multiplier-1
Also, the Buy/Sell Signals are conditioned by three Filters (optionable, modifiable) :
. Bollinger-Bands Lookback
. High-Low vs Candle Range %
. Distance from Fast and Slow Moving averages %
The Results Calculation presented in a Table are based :
- on the Current Chart Visible Range (optionable)
or
- on the specified TIme Frame Start and End Dates (modifiable)
The Table shows Calculation Results of the Buy and Sell Signals that are activated on the chart, with the Number of Trades (Signals), the Winning Points and the Win Rate %. The Buy&Hold starts calculation at the first Buy encountered.
So be surprised by my Buy/Sell Indicator. But always remember that the world is not perfect. The Graal Indicator, even with AI, doesn't already exist, maybe one day (all of us richier...), but not now. , depending on the chart product (stocks...), volatility, probabilities, unpredictable behaviour. , the moves, etc.
Enjoy
WynTrader
P. s. :
My name is WynTrader. I cumulate 24 years of experience. In 2001, I took an intensive technical analysis course taught by an exceptional friend, Cyril, who taught me everything I know. The foundation I gained through his teaching remains solid and relevant to this day, never failing me.
Before i made this Indicator, I have used many Trading View Buy/Sell Indicators using alone or combined RSI, SMI, OBV, MACD ATR, ADX, Neural, Fractal, Geometry, etc., that are already available for the Trading View community. A great thanks to those who give their time that help me build this tool.
Note that I'm not a programmer, so... ;-)
BTC Flow Dashboard : Spot Premium + OI + Funding + Cycle SignalsSpot Premium vs Perpetual Basket (%):
Tracks how aggressively perps are trading relative to spot, a leading indicator of speculative activity and leverage buildup.
Aggregated Open Interest Z-Score:
A normalized view of OI expansion/contraction across major exchanges (Binance, BitMEX, Bybit, Kraken, etc.), highlighting when leverage enters overheated zones.
Composite Funding Rate Analysis:
Calculates a TWAP-smoothed funding composite across major venues, with optional APR scaling, showing where perpetual markets are paying for long or short exposure.
Confluence Signal Engine:
Dynamically flags bullish or bearish market conditions based on premium behavior and leverage environment — including over-leverage warnings that often precede volatility spikes.
Extreme Cycle Tops & Bottoms (Experimental):
Optional signal module that highlights historically significant extremes (e.g., 2020 bottom or 2021 top) based on statistical Z-score thresholds across the three core metrics.
Notes & Tips
Works best on weekly or monthly timeframes for macro cycle analysis.
Daily and 3D views provide short-term leverage context but may produce more frequent signals.
The Extreme Signal Engine is experimental — not a trading signal on its own, but a contextual tool to support macro decision-making.
Turtle Soup Multi Timeframe (D + 30m)
This indicator indicates when there is a turtle soup with a 30-minute timeframe aligned with a one-day timeframe.
US Construction Spending & Manufacturing Employment YoY % ChangeUsage Notes: Timeframe: Use a monthly chart, as TTLCONS and MANEMP are monthly data. Other timeframes result in interpolation.
Data Availability: As of October 2025, TTLCONS is available until July 2025 and MANEMP until August 2025 (automatically via TradingView).
The Unsung Heroes: Why C&M Are the True Indicators
Imagine the economy is a highly sensitive vehicle. Quarterly reported GDP is like a quarterly glance at the odometer—it's slow, often delayed, and clearly refers to the past. Anyone who wants to predict future developments needs something much faster.
This is where construction and manufacturing come into play. These two sectors are the machine builders of the economy and provide us with real-time feedback. They form the backbone of economic forecasting for several important reasons:
1. Monetary policy indicators: Both sectors are highly sensitive to monetary policy developments, such as interest rate changes. If developers are unable to finance large residential or commercial projects and manufacturers postpone capital-intensive factory expansions, for example, declines in construction demand would quickly affect other sectors.
2. The backbone of the secondary sector: These industries constitute the secondary sector of the economy, meaning they are concerned with the actual transformation and production of goods, not just the extraction of raw materials or the provision of intangible services. One could argue that while they only account for about 15% of GDP in the US, their impact is massive and cyclical.
3. The timeliness advantage: Forget quarterly lags. Both construction output and manufacturing employment data are released monthly. This timely, frequent data allows analysts to assess economic momentum much more quickly than if they had to wait for delayed GDP reports.
In the US, some analysts have even titled their articles with the bold claim: "Housing construction is the business cycle." Fluctuations in housing construction are frequent and large, and a decline in activity is almost always accompanied by a subsequent decline in GDP.
NF_PLASMA_SURGE 🧩 NF_PLASMA_SURGE (NightFury Systems)
Author: Lachin M. Akhmedov (aka NightFury)
⚙️ A volumetric impulse oscillator detecting real candle energy through body density, directional momentum, and normalized volatility thrust.
🧠 Core Concept:
Not another RSI. Not another MACD.
NF_PLASMA_SURGE isolates true directional impulse by measuring the physics of price:
Body Energy → how much of each candle’s range is real movement.
Volume Thrust → amplifies strong participation only.
Volatility Normalization → filters emotional spikes and fake momentum.
⚡ Outputs:
Toxic Green = Real buy impulse (surge ignition)
Red Inferno = Real sell impulse (energy drain)
⚡ marks = Charged bursts detected (|z| > threshold)
💫 Synergy:
Designed to integrate with NF_CYBER_FURY as its ignition companion —
Cyber powers the reactor; Plasma lights the core.
🧩 Recommended Stack:
NF_CYBER_FURY + NF_PLASMA_SURGE = The NightFury Reactor System
OPEX VIXEX datesUpdated ohlocracy's OPEX script till 2030
These dates are for standard equity, index, and ETF options expiration managed by OCC, with monthly expirations usually on the third Friday and weekly expirations on other Fridays, except holidays which cause adjustments to Thursdays or nearby trading days.
Quarterly options expiration dates in the US stock market are on the last trading day of the quarter, usually the last business day of March, June, September, and December.
These dates are the last trading day of each quarter, accounting for weekends and holidays when the market is closed. When the last calendar day falls on a weekend, the expiration is set to the last prior trading day.
The VIX monthly expiration is on the Wednesday prior to the stock market monthly opex (third Friday). When holidays affect these days, the expiration shifts to the business day before.






















