TP & SL Indicator [TheScalpingAnt]
Overview
TP & SL Levels Clean is a precision trade-management tool designed to instantly plot professional-grade Take Profit and Stop Loss levels directly on your chart. Whether you are scalping, swing trading, or managing high-risk execution, this indicator removes guesswork by automatically calculating your SL and up to three configurable TP targets, displaying them with clean price labels on the right side of the chart.
This tool is built for traders who demand clarity, discipline, and execution accuracy.
Core Concepts
This indicator is designed around three key trading principles:
• Risk Management First
A clearly defined Stop Loss is essential in every professional trading strategy. The indicator ensures your SL is always visible and precise.
• Structured Profit Taking
Instead of randomly exiting trades, the tool delivers predefined TP targets to support scaling out and disciplined exits.
• Clean Visual Execution
Levels are displayed with bold lines and price tags, ensuring immediate readability without cluttering the chart.
LONG and SHORT trading directions are fully supported, ensuring it fits any trading style and asset class.
Key Features
• Automatically plots:
o Entry price level
o Stop Loss level
o TP1 (mandatory)
o TP2 (optional)
o TP3 (optional)
• Works for:
o LONG & SHORT positions
• Adjustable percentages for:
o SL %
o TP1 %
o TP2 %
o TP3 %
• Toggle ON/OFF visibility for TP2 & TP3
• Clean professional design
• Smart decimal precision based on instrument price
• Stable drawing logic using only the latest bar (no historical clutter)
• Precise price labels aligned on the right side of the chart
• Customizable line width
• Lightweight, fast, and optimized for performance
Customization & Flexibility
The indicator allows full personalization to match your trading strategy:
• Manually set Entry Price or let the indicator auto-detect from current price
• Choose Trade Direction: LONG or SHORT
• Define your exact:
o Stop Loss %
o Take Profit % levels
• Enable or disable TP2 and TP3 depending on your strategy
• Adjust line thickness
• Automatically adjusts price label decimal formatting for Forex, Crypto, Indices, and Stocks
This gives you total flexibility to adapt the tool to scalping, day trading, swing trading, or long-term positioning.
How to Use
1. Apply the indicator to your chart
2. Set:
o Entry Price (or leave 0 for automatic detection)
o Trade Direction (LONG / SHORT)
3. Define SL %, TP1 %, and optionally TP2 & TP3 %
4. Enable TP2 / TP3 toggles if needed
5. The indicator instantly plots:
o Entry line
o Stop Loss line
o Take Profit levels
6. Trade with visual confidence knowing your execution levels are clearly defined
Example Use Case
A trader plans a LONG position at 1.20000.
They configure:
• SL = -1.20%
• TP1 = +0.90%
• TP2 = +0.90% (optional)
• TP3 = +0.90% (optional)
The indicator immediately displays:
• Entry Reference Level
• Stop Loss Zone
• Profit Targets
This gives the trader an instant, structured trading framework without manual calculations, improving discipline and execution speed.
Settings Breakdown
Inputs:
• Entry Price (0 = auto)
• Trade Direction (LONG / SHORT)
• Stop Loss %
• TP1 %
• TP2 %
• TP3 %
• Toggle ON / OFF TP2
• Toggle ON / OFF TP3
• Line Width
• Built-in intelligent decimal formatting
Visuals:
• Bold colored levels
• Clear labels with precise price values
• Transparent clean UI
• Optimal spacing for visibility
Conclusion
TP & SL Levels Clean is built for serious traders who understand that consistent profitability comes from structured execution, not emotions. By combining clarity, flexibility, and professional visualization, this indicator helps you manage trades with precision and confidence.
If you are looking to simplify your workflow, improve discipline, and present professional execution management on your charts, this tool is for you.
Disclaimer
This indicator does not provide financial advice or guaranteed profits. It is a technical tool designed to support trade planning and execution. Trading involves risk, and users should always conduct their own analysis and manage risk responsibly
Educational
Adoptive Conditional range High/Low MA Crossover StrategyDeveloped from the doctoral research of Abu-Kadunagra at ****** University's in Australia, this strategy implements a "Campaign-Based Adaptive Execution" framework. It moves beyond simple entries and exits by treating each market engagement as a multi-phase campaign with distinct operational states. The system intelligently identifies cyclical turning points, then employs a feedback-driven approach to capital allocation—reinforcing successful momentum with pyramiding while deploying controlled defensive averaging during temporary setbacks. By anchoring its exit mechanism to dynamically updated market structure rather than static profit targets, the algorithm seeks to capture cyclical momentum while maintaining disciplined risk parameters. This research-driven approach represents an evolution toward state-aware algorithmic systems that adapt their tactics in real-time based on market phase recognition.
CRT 4H-DAY (Candle Range Theory)CRT 4H-DAY (Candle Range Theory) is a clean, price-based analytical tool designed to help traders contextualize market structure across multiple time horizons.
The indicator highlights key reference levels derived from recent market ranges and visualizes them directly on the chart in a minimal, non-intrusive way.
Its purpose is to improve spatial awareness of price behavior rather than generate direct trading signals.
CRT Trading is built for discretionary traders who prefer to combine contextual levels with their own analysis, price action, and risk management rules.
Key characteristics:
Multi-timeframe contextual reference levels
Clean and customizable visual layout
Works across crypto, forex, indices, and stocks
Designed for intraday and swing analysis
No repainting
No buy/sell signals
No future data usage
This indicator does not provide financial advice and should be used strictly as a supplementary analytical tool.
This indicator is for educational and analytical purposes only.
It does not provide trading signals or investment advice.
All trading decisions remain the sole responsibility of the user.
Fundamental Dashboard Publishing this script is a great idea because many traders in the Indian market struggle with TradingView's lack of data for SME (Small and Medium Enterprise) stocks.
Here is a professional, detailed description you can use for the Publishing Page. I have broken it down into sections that highlight the unique "Hybrid" technology of your script.
Title Idea: Fundamental Dashboard Pro: SME & Hybrid Live Valuation
Description:
Overview
The Fundamental Dashboard Pro is a high-performance financial analysis tool specifically designed for the Indian Stock Market (NSE/BSE). It solves the biggest problem faced by TradingView users in India: Missing or delayed data for SME and mid-cap stocks.
While standard TradingView indicators rely solely on built-in data feeds (which are often "N/A" for stocks like Alpex Solar, Oriana Power, or Insolation Energy), this script uses a Custom Hybrid Engine. It prioritizes a built-in, high-accuracy database of ~1,700 stocks while falling back to live TradingView data for everything else.
Key Features
📊 Accurate SME Data: Includes pre-loaded, professional-grade fundamental data (EPS, Net Profit, Debt/Equity, ROE) for over 1,600 Indian companies, including the SME segment.
⚡ Real-Time P/E Calculation: Unlike static dashboards, this script calculates the Price-to-Earnings (P/E) ratio dynamically. It takes the static EPS from the database and divides it by the live market price, ensuring your valuation metrics update every second.
🛡️ Intelligent Fallback Logic: If a ticker is not found in the custom database, the script automatically attempts to fetch live data from TradingView’s servers, ensuring you are never left without information.
🔍 Manual Ticker Search: Includes a "Manual Search" input in settings to bypass auto-detection. This is perfect for stocks that use different naming conventions between NSE and BSE (e.g., searching by code 543620 for Insolation Energy).
🚦 Automatic Rating System: A 5-point scoring system that evaluates a stock based on profitability, valuation, leverage, and efficiency, providing a visual "Buy/Sell/Neutral" rating.
How the Hybrid System Works
EPS/ROE/Debt: These metrics are quarterly and are pulled from a high-precision snapshot of Screener.in data embedded in the script.
Live Price: Pulled directly from the chart ticker.
Dynamic P/E: Calculated as Live Price / Stored EPS. This makes the valuation "Market-Live."
Scoring Criteria
The dashboard evaluates every stock against 5 fundamental pillars:
Profitability: Is the company making a Net Profit?
Earning Power: Is the EPS positive?
Valuation: Is the Live P/E below the user-defined threshold?
Debt Health: Is the Debt-to-Equity ratio below the safety limit?
Efficiency: Is the Return on Equity (ROE) above the target percentage?
Instructions for Use
Auto-Mode: Simply add the script to your chart. It will detect the ticker automatically.
Manual-Mode: If the dashboard shows "NOT FOUND" for a specific SME stock, go to Settings > Data & Thresholds and type the ticker name exactly as it appears on Screener (e.g., ALPEXSOLAR).
Customization: You can adjust the P/E, ROE, and Debt thresholds in the settings menu to match your specific investment criteria (e.g., Value vs. Growth investing).
Internal Note for Publishing (Technical):
Version: Pine Script v5
Optimization: The script uses string-compressed data chunks to remain within the 80,000 token limit while maximizing the stock database size.
Scope: Designed specifically for Indian markets but compatible with global tickers via the fallback engine.
KSE-100 PSX Long Strategy by KadunagraDeveloped from a academic part of the doctoral research of Kadunagra on digital finance and automation at **** University in Australia, this strategy implements a "Campaign-Based Adaptive Execution" framework. It moves beyond simple entries and exits by treating each market engagement as a multi-phase campaign with distinct operational states. The system intelligently identifies cyclical turning points, then employs a feedback-driven approach to capital allocation—reinforcing successful momentum with pyramiding while deploying controlled defensive averaging during temporary setbacks. By anchoring its exit mechanism to dynamically updated market structure rather than static profit targets, the algorithm seeks to capture cyclical momentum while maintaining disciplined risk parameters. This research-driven approach represents an evolution toward state-aware algorithmic systems that adapt their tactics in real-time based on market phase recognition.
My multiple MAs📈 My Multiple MAs — Multi-Timeframe Adaptive Moving Average
MY-MA is a multi-timeframe moving average indicator designed to help traders clearly identify trend direction, market cycles, and dynamic support & resistance using advanced MA logic.
This indicator combines Higher Timeframe Moving Averages with adaptive curve visualization, making it especially useful for swing trading, trend following, and market structure analysis.
🔹 Key Features
✅ Multi-Timeframe Moving Averages
- Plot moving averages from higher timeframes (e.g. 4H, 1D) directly on your current chart
- See the real trend context without switching timeframes
✅ Advanced MA Types
- Supports LMA (Least Moving Average) for smoother trend tracking
- Optional HIG / custom MA logic for cycle detection and turning points
✅ Market Cycle Visualization
- Curved MA behavior helps highlight trend expansion, exhaustion, and reversals
- Color-coded curves make bullish vs bearish phases easy to read
✅ Dynamic Price Labels
- Automatically displays MA price levels on the chart
- Helps identify key reaction zones and confluence areas
✅ Highly Customizable
- Control timeframe, MA length, source price, and offsets
- Toggle labels and lines independently for a clean chart
🔹 How to Use
- Above MA & rising → Bullish trend bias
- Below MA & falling → Bearish trend bias
- Price reacting near higher-TF MA → Potential support/resistance
- Curve flattening or bending → Possible trend exhaustion or reversal
- Best used together with price action, volume, or structure confirmation.
⚠️ Disclaimer
This indicator is a technical analysis tool only and does not provide financial advice. Always use proper risk management and confirmation before entering trades.
True Session Opens [TakingProphets]True Session Opens
- Description
- True Session Opens plots “true” session open levels (horizontal) for major trading windows
- Optional vertical session boundary markers and bottom session labels
- Built to keep charts clean with a timeframe visibility filter and lookback pruning
- What This Is (In Plain English)
- When a session starts (New York time), the script captures that candle’s open price
- A horizontal line is drawn from the session start and extended bar-by-bar to the current bar
- Optional vertical lines mark session start and end boundaries
- Optional bottom labels show ASIA, LONDON, NY.AM, and NY.PM near the midpoint of each session
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Sessions Tracked (New York Time)
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- ASIA - 20:00 to 00:00
- LONDON - 02:00 to 05:00
- NY.AM - 09:00 to 11:30
- NY.PM - 13:00 to 16:00
- IMPORTANT
- Session detection is anchored to America/New_York
- Adjust session windows in Session Definitions if your instrument requires different killzones
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How To Use
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- Add this indicator to intraday charts for clean session reference levels
- Use session opens as reaction levels, anchors, or confluence with your model
- Enable verticals for timing context, disable them for a minimal chart
- Recommended Workflow
- Keep ASIA and LONDON enabled during London / NY overlap
- Keep NY.AM and NY.PM enabled for New York session context
- Lower timeframes (1m–15m) are recommended for best clarity
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Settings Guide
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- General
- Lookback
- Controls how far back session verticals remain visible
- Options: 1 Day, 3 Days, 5 Days, 1 Week, 1 Month
- Older session markers are pruned automatically for performance and cleanliness
- Highest Timeframe Visibility
- Prevents session visuals from displaying on higher timeframes
- Example: if set to 15m, sessions will not appear on 30m, 1H, or higher
- When exceeded, existing visuals are removed to keep the chart clean
- Session Definitions
- Defines session time windows (New York time)
- Modify these inputs if you want custom session ranges
- Session Opens
- Individual toggles for ASIA, LONDON, NY.AM, and NY.PM
- Custom color per session
- Adjustable line style and line width
- Configurable open label size
- Session Verticals
- Toggle vertical lines at session start and end
- Customize vertical line color and style
- Toggle bottom session name labels
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Visual Output
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- Horizontal Open Lines
- Plotted at the opening price of each session
- Right-pinned labels using short codes
- asia.open
- lo.open
- nyam.open
- nypm.open
- Vertical Session Lines (Optional)
- Vertical markers at session start and end
- Managed by lookback pruning
- Bottom Session Labels (Optional)
- Session names printed at the bottom of the chart
- Positioned near the midpoint of each session window
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Best Practices
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- Use 1m–15m for clean intraday session structure
- Disable verticals if you only want
SETUP HMTR ZONESETUP HMTR ZONE
This indicator highlights high-probability market extremes by detecting a rare alignment between independent heatmap engines.
Captures volatility squeeze, trend exhaustion, and pressure asymmetry.
🎯 What the indicator does
🔵 Cold Match (Blue)
Appears when all engines detect cooling, fear, and liquidity contraction.
Often forms near accumulation phases, oversold washes, structural resets, discount zones.
🔴 Hot Match (Red)
Appears when all components show overheating, exhaustion, and aggressive pressure.
Often precedes distribution phases, liquidity grabs, blow-off tops, or trend fatigue.
✨ Why this matters
This tool does not give buy/sell entries.
It provides contextual confirmation of:
emerging accumulation or distribution
cooling or overheating phases
liquidity-driven stress points
behavioral extremes
regime shifts in trend structure
Use it as a market overlay layer, not as a standalone entry trigger.
🔔 Alerts Included
Cold zone
Hot zone
Signals fire only on confirmed candle close.
✔️ Best for traders who value:
risk-aware positioning
cycle and regime analysis
structural confirmation
heatmap-based market context
smart-money aligned behavior
PERP Flow Radar PERP Flow Radar is a multi-asset monitoring tool designed to track real-time capital flow pressure across 30 major perpetual futures markets.
Instead of focusing on a single chart, the radar visualizes how buying and selling pressure evolves simultaneously across many assets, helping traders understand broad market behavior with a single glance.
The radar uses directional volume flow to map cumulative pressure for each asset, resetting daily to highlight fresh momentum and intraday rotation.
This allows traders to clearly see:
• which assets attract aggressive long activity
• which markets show persistent selling pressure
• early signs of trend strength or weakness
• synchronized movements across multiple PERP pairs
• intraday shifts in flow dominance
• comparative strength vs. weakness inside the crypto market
Every asset line can be independently toggled, recolored, or resized, creating a customizable environment for flow-based market observation.
CVD PERP Radar (30) does not provide buy or sell signals.
It functions as a contextual monitoring tool — a way to observe how intraday flows, rotation, and market pressure unfold across the perpetual futures market.
The radar is built for traders who value:
• multi-asset flow analysis
• intraday rotation awareness
• pressure-based interpretation
• momentum tracking
• clean, unobtrusive visualization
• cross-market confirmation
By condensing 30 PERP markets into one unified panel, this tool helps traders stay aware of developing flow regimes, strengthening trends, and weakening structures across the crypto futures landscape.
SETUP HMTRSETUP HMTR (Heatmap Market) is a multi-layered market-structure framework designed to visualize how risk, sentiment, and phase behavior evolve across a market cycle.
Instead of using traditional oscillators, HMTR presents a heatmap of dynamic zones reflecting shifts in accumulation, expansion, distribution, overheating, and deep fear environments.
• early accumulation and recovery phases
• neutral equilibrium zones
• expansion stages with rising momentum
• distribution and trend exhaustion
• periods of euphoria or market overheating
• capitulation, fear, and deep discount environments
Color transitions are adaptive, highlighting how the market’s internal temperature changes over time.
This makes it possible to see cycle maturity, weakening structures, potential reversals, and zones where long-term or short-term opportunities historically emerge.
HMTR is not a signaling tool.
It does not provide buy or sell instructions.
Instead, it functions as a contextual framework, helping traders understand:
• when risk is structurally low
• when the market enters uncertainty or instability
• when accumulation zones may begin forming
• when overheating or distribution is developing
• how crowd psychology affects trend phases
The indicator provides a holistic view of market conditions that cannot be captured by a single oscillator or linear model.
HMTR is intended for traders who study market cycles, sentiment behavior, capital rotation, and structural risk dynamics.
SETUP ZONESETUP ZONE is a minimalistic market pressure indicator that highlights moments when the market enters zones of elevated aggression, imbalance, or momentum extremes.
These areas often precede the beginning of strong setups, trend expansions, or sharp corrective moves.
Instead of focusing on signals or traditional oscillators, SETUP ZONE visualizes pressure conditions that appear when buy or sell activity becomes unusually dominant.
When these conditions exceed normal market behavior, the chart background shifts into distinct zones:
• Green Zone strong upside pressure, often seen near expansion phases or aggressive buying conditions.
• Red Zone strong downside pressure, often appearing near exhaustion, distribution, or panic-driven selling.
These zones do not represent entries or exits.
They serve as contextual markers, helping traders understand when the market is transitioning into structurally important phases where significant setups tend to originate.
SETUP ZONE is useful for traders who focus on:
• momentum and aggression analysis
• liquidity and pressure behavior
• phase transitions
• trend continuation or reversal potential
• clean visual cues without clutter
The indicator does not provide buy/sell signals.
It functions as a market-context tool a way to quickly see when pressure becomes unusual enough to mark the beginning of an opportunity zone.
Setup Crypto RadarSetup Crypto Radar is a multi-asset, multi-timeframe dashboard designed to visualize how different parts of the crypto market transition through phases of pressure, imbalance, exhaustion, and potential setup formation.
Instead of analyzing each chart individually, Setup Crypto Radar aggregates structural behavior across key market assets and compresses it into a clean, real-time matrix.
Each horizontal row represents an asset, while each column reflects a specific timeframe creating a unified overview of emerging long and short conditions across the market.
The radar highlights moments when assets move into:
• expansion pressure
• aggressive sell or buy behavior
• market imbalance and overextension
• zones where strong setups may begin forming
• periods of relief, cooling, or stabilization
By observing how signals cluster across timeframes, traders can quickly identify:
• assets entering strong directional phases
• synchronized market pressure across multiple charts
• early transitions from neutral conditions to potential setups
• environments where trend continuation or reversal may develop
• points of elevated risk caused by macro-level pressure
Setup Crypto Radar does not generate buy or sell signals.
It provides a structural map of pressure conditions, helping traders recognize when the market is shifting into zones where setups commonly originate.
This tool is designed for traders who value:
• multi-timeframe context
• cross-asset alignment
• structural pressure analysis
• early recognition of opportunity zones
• a clean, non-intrusive visual framework
Setup Crypto Radar is not a forecasting or signaling indicator.
It is a context engine, allowing you to see how pressure, imbalance, and setup conditions unfold across the crypto market in real time.
AVAX Bot-Safe SuperTrend FastConfirm v1 (No Repaint for BOT)BETA version - (still in testing)
AVAX Bot-Safe SuperTrend FastConfirm v1 is a TradingView indicator designed to generate stable, non-repainting trade signals for automated execution, while also offering optional visual “early” cues for discretionary monitoring. The script combines a SuperTrend trend engine with a FastConfirm mechanism based on lower-timeframe closes, plus optional confirmation via Hull Moving Averages (HMAs) and risk overlays (ATR-based SL/TP) for execution planning.
1) Core Trend Engine (SuperTrend)
The indicator computes a SuperTrend using ATR (Wilder ATR via ta.atr() by default, optional SMA-TR alternative).
It tracks a binary trend state:
* Trend = bullish when price is above the trailing bearish band.
* Trend = bearish when price is below the trailing bullish band.
“Early” SuperTrend flips (trend change points) can be shown as visual-only markers, intended for human observation rather than bot execution.
2) Hull Moving Averages (Context / Optional Confirmation)
* Two Hull MAs are calculated:
* Fast Hull (short length)
* Slow Hull (longer length)
* Hull alignment is used as an optional confirmation layer (recommended for AVAX) to reduce whipsaws:
* Bullish bias when Fast Hull > Slow Hull
* Bearish bias when Fast Hull < Slow Hull
* Hull lines can be plotted for trend structure and momentum context.
3) Momentum Burst (Visual Only)
* The script includes a momentum “burst / continuation” visual module:
* Measures impulse using either ATR-normalized movement (default) or percentage change.
* Flags continuation patterns (e.g., consecutive rising/falling closes after a burst).
* These markers are not used for bot execution, and are intended to assist human interpretation.
4) Optional Filters (Only Applied to BOT if Enabled)
The script contains optional execution filters that can be applied to bot signals (toggleable):
* Volume filter: compares current volume to a volume moving average.
* RSI filter: avoids entries in overstretched conditions.
* ADX filter: requires a minimum trend strength.
A dedicated switch (“BOT: apply Volume/RSI/ADX if enabled”) determines whether these filters impact automated entries.
5) Bot-Safe Signal Logic (No Repaint)
The indicator’s primary purpose is to produce bot-safe entries that do not “blink” intrabar:
A. Candidate trigger (stable bands + buffer)
* Uses previous bar SuperTrend levels and an ATR-based buffer to avoid micro-touch signals.
* Detects whether price action meaningfully penetrates the relevant band.
B. FastConfirm via lower timeframe closes
* Pulls lower-TF closes inside the current candle (e.g., 1m confirmations) and requires N consecutive closes beyond the threshold level.
* This is intended to reduce false flips while still entering earlier than pure bar-close logic.
C. Two execution modes
* FastConfirm: faster entries, confirmation from lower timeframe closes (recommended for latency-sensitive automation).
* BarClose: waits for bar close confirmation (slowest but maximally conservative).
D. Latching + cooldown
* Signals are latched per bar so they do not disappear within the same candle.
* A direction lock and cooldown prevents immediate opposite signals in rapid chop.
6) Risk Levels (ATR-Based SL/TP + JSON Payload)
* On each bot signal, the indicator calculates:
* Stop Loss = ATR-multiple away from price
* Take Profit = based on a configurable risk:reward ratio
* SL/TP lines can be plotted for a limited number of bars after the signal for clarity.
* For automation, the script can send dynamic JSON alerts via alert() including:
* action (BUY/SELL), symbol, timeframe, confirmation TF, suggested entry, SL, TP, and latency cushion.
A configurable latency cushion (%) adjusts the “entry” field to account for real execution delay/slippage (useful when routing signals to bots/exchanges with a few seconds latency).
Recommended Usage (TradingView + Bot Execution)
Best practice for bot safety
* Use Bot Signal Mode = FastConfirm for earlier entries while keeping confirmations.
* Keep FastConfirm TF = 1m and start with Confirm Bars = 2 (then tune to 3 if too many false signals).
* Maintain a modest ATR buffer (e.g., 0.10–0.20 × ATR ) to reduce noise triggers.
How to set alerts
* For bot routing that expects structured data: enable Send JSON via alert(), and create the TradingView alert using:
* “Any alert() function call”
* For simpler setups: use the built-in alertcondition() alerts (“AVAX BOT BUY/SELL”).
Filter policy (risk control)
* If you trade during choppy ranges, consider enabling ADX and/or Hull alignment.
* Enable Volume/RSI/ADX filters for the bot only if you accept fewer trades in exchange for higher selectivity.
Operational notes
* Prefer lower chart timeframes (e.g., 1m–5m) with FastConfirm to limit reaction time.
* Calibrate latency cushion (%) to match your observed end-to-end delay (TradingView → webhook → bot → exchange).
* Always validate settings in BarClose mode first to benchmark “safest behaviour,” then switch to FastConfirm and tune confirm bars/buffer.
!!!! - The algorithm was designed with ChatGPT 5.2 Pro
CandleMapTF - Automatic Candle Structure Tool [PRO]Description:
This Pine Script creates an "Automatic Candle Structure Tool " for TradingView that visually manages market structure and dealing ranges across multiple timeframes.
All elements, including colors, opacity, and displayed levels are fully customizable.
Disclaimer:
This script is for educational and informational purposes only and does not
constitute financial advice, investment advice, or a trading recommendation.
Use at your own risk.
Scalping ~ Maniesh🔥 Fibonacci Scalping Indicator
This indicator is built for precision scalping using ACR (Average Candle Range) combined with Fibonacci-based premium & discount zones.
It helps traders identify high-probability reaction areas instead of chasing random moves.
🧠 Indicator Logic
Calculates ACR to understand current market volatility
Uses Fibonacci levels on the ACR range
Clearly marks Premium & Discount zones
Helps filter overextended price moves
Designed for reaction-based scalping, not blind entries
⏱ Best Timeframes
1m / 3m
Works best during London & New York sessions
📌 How to Use
Look for price reaching Fib
Wait for price reaction or confirmation
Enter scalps with tight stop-loss
Ideal for quick entries & partial exits
This indicator does not give buy/sell signals.
It is a framework tool to improve execution and timing.
⚠️ Disclaimer
Trading involves risk.
Always use proper risk management and backtest before live trading.
ATR CANDLESDynamic support and resistance are formed by the bodies and wicks of ATR candles, creating price zones with “height” rather than exact lines where price often pulls back and reacts. For a trailing stop, trades are held as long as candle color remains in the trend direction, with stops placed beyond the previous ATR candle; an opposite-color candle signals exit.
SK BAND SK BAND is a powerful TradingView indicator designed to generate clear and reliable Buy & Sell signals by identifying market trend and price momentum. It helps traders make disciplined and confident trading decisions across different market conditions.
🔹 Key Features
✔ Clear BUY and SELL signals on the chart
✔ Works on Stocks, Indices, Forex, Crypto & Commodities
✔ Suitable for Intraday, Swing, and Positional trading
✔ Helps identify trend direction and momentum
✔ Simple, clean, and beginner-friendly
📈 How It Works
BUY signal appears when bullish momentum strengthens
SELL signal appears when bearish momentum increases
For better accuracy:
Use proper risk management
Confirm signals with support & resistance or higher timeframes
Avoid sideways or low-volume markets
⚠ Disclaimer
This indicator is for educational purposes only.
SK BAND does not provide financial advice. Trading involves risk—always confirm signals with your own analysis.
Mawhoob (TD - Trend Direction) - v1.1Mawhoob (Trend Direction - TD) Indicator v1.1
Professional Trend Analysis & Market Context Dashboard
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🎯 Overview
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Mawhoob (Trend Direction - TD) is a comprehensive, professional-grade technical analysis tool designed to provide traders with multi-dimensional market insights. This advanced indicator combines a proprietary adaptive trend line with real-time market context data, offering a complete market analysis solution in one elegant package.
✨ Key Features ✨
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📈 Trend Direction Line (TD Line)
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Intelligent Moving Average System: Utilizes a sophisticated blend of EMA, RMA, and WMA with smart adaptive error correction.
1- Dynamic Color Coding:
🟢 Green: Bullish trend (price momentum upward).
🔴 Red: Bearish trend (price momentum downward).
2- Customizable Parameters:
Main Period (1-200): Control long-term vs. short-term sensitivity.
Fast Period (0-50): Fine-tune responsiveness to price changes.
Weighting Factor (0-3): Adjust current price influence on the trend line.
3- Visual Bands: Optional upper and lower bands that create a dynamic channel around the trend line.
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📊 Real-Time Market Dashboard
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A comprehensive information panel displaying multiple technical indicators and market dominance metrics.
Technical Indicators Section:
1- RSI (Relative Strength Index)
Current value with color-coded momentum indication.
Direction status: UP / DOWN / NEUTRAL.
Customizable overbought/oversold levels.
Includes RSI SMA for trend confirmation.
2- MACD (Moving Average Convergence Divergence)
Real-time MACD line value.
Trend direction based on MACD vs. Signal line relationship.
Fully customizable fast, slow, and signal periods.
3- ADX (Average Directional Index)
Trend strength measurement.
Color-coded display: Strong vs. Weak trend.
Adjustable strength threshold.
Market Dominance Section:
1- DXY (US Dollar Index)
Real-time dollar strength tracking.
Direction indicator for forex correlation analysis.
2- BTC.D (Bitcoin Dominance)
Bitcoin market dominance percentage.
Useful for crypto market sentiment analysis.
3- USDT.D (Tether Dominance)
Stablecoin dominance tracking.
Risk-on/risk-off market indicator.
All dominance metrics feature:
Customizable timeframe selection.
UP/DOWN/NEUTRAL directional indicators.
Color-coded values for quick visual assessment.
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🔔 Alert & Signal System
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Price Crossover Alerts: Get notified when price crosses above or below the TD line.
Smart Alert Logic: Filters out neutral/flat market conditions to reduce noise.
Visual Signals: Optional triangle markers on chart (▲ bullish, ▼ bearish).
Once-Per-Bar Frequency: Prevents alert spam while ensuring you don't miss opportunities.
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🎨 Visual Customization
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Candle Color Mode: Option to color candles based on trend direction.
Dashboard Positioning: Choose LEFT, RIGHT, or CENTER placement.
Text Size Options: TINY, SMALL, NORMAL, or LARGE for optimal readability.
Customizable colors for Bullish/Bearish trend lines.
Customizable colors for dashboard backgrounds and borders.
Customizable colors for UP/DOWN/NEUTRAL status indicators.
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📚 Use Cases
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For Day Traders
Quick trend identification with color-coded TD line.
Real-time momentum gauges (RSI, MACD).
Instant crossover alerts for entry/exit timing.
For Swing Traders
Medium-term trend direction with adjustable periods.
ADX strength indicator for high-probability setups.
Market dominance context for broader market analysis.
For Crypto Traders
BTC.D and USDT.D tracking for altcoin season detection.
Integrated multi-indicator analysis.
Customizable timeframes for dominance metrics.
For Multi-Market Analysis
DXY correlation for forex and commodities.
Comprehensive dashboard for quick market scans.
Cross-market sentiment analysis.
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⚙️ Settings & Customization
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Trend Direction Settings
Main TD Period: Adjust overall trend sensitivity.
Fast TD Period: Control responsiveness (0 = no smoothing).
Weighting Factor: Balance between historical and current prices.
Line width and colors for visual preference.
Optional trend bands with adjustable transparency.
Dashboard Settings
Toggle individual indicators on/off.
Customize all indicator periods and thresholds.
Choose timeframe for dominance indices.
Adjust colors, position, size, and borders.
Complete visual control for your trading style.
Alert & Signal Settings
Enable/disable crossover alerts.
Optional visual signals on chart.
Smart built-in filtering to reduce false signals.
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🎓 Best Practices
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Trend Following: Use the TD line as your primary trend filter - trade with the color.
Confirmation: Combine TD direction with RSI and MACD for higher probability setups.
Strength Filter: Use ADX to avoid weak/choppy trends.
Market Context: Check dominance indicators for broader market sentiment.
Alerts: Set alerts to catch reversals without constant chart watching.
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🚀 What Makes This Indicator Special ?
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✅ All-in-One Solution: Multiple professional indicators in one clean package.
✅ Adaptive System: Responds to market conditions, not just static calculations.
✅ Professional Dashboard: Institutional-grade information display.
✅ Real-Time Data: Live updates from multiple markets and assets.
✅ Highly Customizable: Tailor every aspect to your trading style.
✅ Clean Code: Optimized Pine Script v6 for maximum performance.
✅ No Repainting: Uses (barstate.isconfirmed) to ensure calculations only occur on closed bars.
✅ Resource Efficient: Smooth performance even with all features enabled.
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🎯 Perfect For
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Trend identification and following.
Multi-timeframe analysis.
Market sentiment tracking.
Entry and exit timing.
Portfolio management decisions.
Risk assessment through trend strength.
Correlation analysis across markets.
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📝 Notes
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All calculations are performed on confirmed bars to prevent repainting.
Dashboard updates in real-time as market conditions change.
Dominance indices (DXY, BTC.D, USDT.D) require market data access.
Best results achieved when combined with proper risk management.
Suitable for all markets: stocks, forex, crypto, commodities, indices.
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💡 Pro Tips
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Start with default settings and adjust based on your timeframe.
Lower periods (5-10) for scalping, higher (20-50) for swing trading.
Use the dashboard as a quick health check for your current positions.
Combine TD line with support/resistance for confluence.
Watch dominance indicators for early market regime changes.
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⚠️ Important Notes
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This indicator is for educational and informational purposes only.
Always confirm signals with your own analysis before trading.
Use proper risk management and position sizing.
The indicator works on all timeframes and instruments.
Past performance does not guarantee future results.
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🔄 Updates & Support
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Current Version: v1.1
This indicator is actively maintained and updated. Future versions may include additional features and improvements based on user feedback.
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🙏 Acknowledgments
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Created & designed by: @mawhoobx
📝 Remember: The best indicator is the one combined with proper risk management, discipline, and a solid trading plan. This tool is designed to assist your analysis, not replace your judgment.
Trade Smart. Trade Safe. Trade Profitable.
Killzones & DoL's by @mohtradesThe KillZones & DoLs indicator is a comprehensive tool designed for ICT and institutional traders. It provides a clean, customizable way to visualize key time-based levels, killzone sessions, and daily/weekly/monthly statistics directly on your chart.
Key Features
1. Killzones & Sessions
Visualize the three major trading sessions with customizable boxes and time ranges:
Asia Range: Default 20:00 - 00:00 (NY Time)
London Killzone: Default 02:00 - 05:00 (NY Time)
New York Killzone: Default 09:30 - 16:00 (NY Time)
Killzone Tools:
Boxes: Draw highlighted boxes for each session.
Pivots: Automatically mark the High and Low of each session.
Midpoints: Optionally show the 50% equilibrium level of the session range.
Extensions: Extend pivot lines until they are mitigated (price touches them) or keep them for a set duration.
Alerts: Get notified when a session High or Low is broken.
2. Highs & Lows (HTF Levels)
Track significant liquidity levels from higher timeframes without switching charts:
Previous Day High/Low (PDH/PDL)
Previous Week High/Low (PWH/PWL)
Previous Month High/Low (PMH/PML)
Current High/Low of Day (HOD/LOD): Tracks the developing high and low of the current day.
Current High/Low of Week (HOW/LOW): Tracks the developing high and low of the current week.
3. Opening Price Lines
Mark key opening prices to use as support/resistance or bias confirmation:
True Day Open (00:00 NY)
Week Open
Month Open
Custom Open Lines: Configure up to 8 custom time-based open price lines (e.g., 06:00, 10:00, 14:00).
4. Separators & Statistics
Period Separators: Vertical lines marking the start of new Days, Weeks, or Months.
Range Table: Display the range (in pips/points) of recent sessions and their average to gauge volatility.
Customization
Timezone: Fully adjustable to your preferred timezone (default America/New_York).
Styling: Customize colors, line styles, widths, and label sizes for all elements.
Drawing Limits: Optimize chart cleanliness by limiting historical drawings to the last N days.
How to Use
Add the indicator to your chart.
Open Settings to enable/disable specific Killzones (Asia, London, NY).
Enable "Show PDH/PDL" or "Show HOW/LOW" to track liquidity.
Set your convenient timezone (typically NY for ICT concepts).
Use alerts to catch liquidity runs on session pivots.
Resumo de Velas (120) ROMANOCounting the last 120 candles with volume data
Count of positive candles + count of negative candles
Ratio between negative and positive candles
If the ratio is greater than 1.20, enter a sell position
If the ratio is less than 0.80, enter a buy position
Use on a high timeframe chart
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Contagem das ultimas 120 velas com volumes
Contagem velas positivas + contagem velas negativas
Razão entre negativas e positivas
Se a razão é maior que 1.20 entra em venda
Se a razão é menor que 0.80 entra em compra
Uso no grafico de alto timeframe
SS Critical NSE Pair Trading Dashboard [10 Pairs]This dashboard finds live pair trading opportunities in NSE.
For Educational use only
BTC Gann Harmonics Weighted + Phase + EMA OptimizedBTC Gann Harmonics Weighted + Phase + EMA Optimized
EV Algo SMT 15m on 1mEV Algo SMT is a multi-timeframe SMT divergence indicator that compares price action between two correlated markets.
It uses higher timeframe pivots while plotting signals on a lower timeframe chart, helping identify potential bullish and bearish divergences with confirmation on candle close.






















