SUPERTREND VALIDADO ADX EMAS VWAP # Modular Trading System - SuperTrend + ADX + Multi-Filter Confirmation
## Overview
Professional modular trading system designed for trend-following strategies on 4H timeframes. Features a clean, mobile-optimized interface with customizable filters and real-time status monitoring.
## Core Features
### Validated Components (Backtested)
- **SuperTrend (ATR 10, Multiplier 3.0)**: Primary trend direction filter with visual fill
- **ADX >23**: Trend strength confirmation (14-period)
- Proven performance: 52.11% win rate, 3.162 profit factor over 4 years
### Additional Filters (Optional)
- **DI Spread >9**: Directional movement confirmation
- **Volume > EMA20**: Volume confirmation above 20-period average
- **EMA System**: 7/21/50 with dynamic coloring
- **VWAP**: Daily volume-weighted average price
### Visual Elements
- **SuperTrend Line**: Green (bullish) / Red (bearish) with background fill
- **EMA 7**: Yellow when ADX >23, White when ADX ≤23
- **EMA 21**: Green (price above) / Red (price below)
- **EMA 50**: Blue reference line
- **VWAP**: Orange line
- **PDH/PDL**: Previous day high/low levels
- **EMA Cross Signals**: Small dots marking 7/21 crossovers
### Smart Money Concepts
- Automatic Previous Day High (PDH) / Previous Day Low (PDL) tracking
- Horizontal lines extending from current price
- Clear labeling for support/resistance levels
## Status Dashboard
Compact 2-column table (top-right) shows:
```
FILTERS | STATUS
1. ADX >23 | 47.6 OK / 18.2 NO
2. DI Spread >9 | Bullish / Bearish
3. SuperTrend | Bullish / Bearish
4. Volume >EMA20 | 1.25x OK / 0.14x NO
─────────────────────────────
SIGNAL | BUY / SELL / WAIT
```
Color-coded backgrounds:
- Green: Condition met
- Red: Condition not met
- Yellow: Waiting for confirmation
## Signal Logic
### Entry Conditions
**LONG**: All active filters must align
- SuperTrend bullish (green)
- ADX >23
- DI+ > DI- (if DI Spread enabled)
- Volume > EMA20 (if Volume enabled)
- Price > EMA21 and EMA7 > EMA21 (if EMAs enabled)
**SHORT**: All active filters must align
- SuperTrend bearish (red)
- ADX >23
- DI- > DI+ (if DI Spread enabled)
- Volume > EMA20 (if Volume enabled)
- Price < EMA21 and EMA7 < EMA21 (if EMAs enabled)
### Exit Conditions
- SuperTrend direction change
- Clear "EXIT" markers on chart
### Position Management
- One position per trend (no pyramiding)
- Prevents multiple entries in same direction
- "WAIT" status when conditions partially met
## Settings & Customization
### Filters (Enable/Disable)
**Core Filters:**
- ✓ SuperTrend (VALIDATED)
- ✓ ADX >23 (VALIDATED)
**Additional Filters:**
- ⚠️ DI Spread >9 (EXPERIMENTAL)
- ⚠️ Volume > EMA20 (EXPERIMENTAL)
- ⚠️ EMAs 7/21/50 (EXPERIMENTAL)
**Visual:**
- Show EMA 7/21 Crosses (dots)
### Parameters
**SuperTrend:**
- ATR Period: 10 (default)
- ATR Multiplier: 3.0 (default)
**ADX/DI:**
- ADX Length: 14 (default)
- ADX Threshold: 23 (default)
- DI Spread Threshold: 9 (default)
**Volume:**
- Volume EMA: 20 (default)
**EMAs:**
- Fast EMA: 7 (default)
- Medium EMA: 21 (default)
- Slow EMA: 50 (default)
## Alerts
Pre-configured alerts for:
- Long Signal (BUY - Entry confirmed)
- Short Signal (SELL - Entry confirmed)
- Exit Long (EXIT LONG - SuperTrend changed)
- Exit Short (EXIT SHORT - SuperTrend changed)
- EMA Cross Up (EMA 7 crossed above EMA 21)
- EMA Cross Down (EMA 7 crossed below EMA 21)
## Best Practices
### Recommended Setup (Validated System)
```
Enable ONLY:
- SuperTrend: ON
- ADX >23: ON
- All other filters: OFF
```
### Testing New Filters
1. Enable experimental filters
2. Backtest thoroughly before live trading
3. Compare performance metrics
4. Validate with demo account first
### Timeframe
- Optimized for: 4H charts
- Tested on: Bitcoin/USDT
- Works on: Any trending instrument
## Risk Management
This indicator provides entry/exit signals but does NOT include:
- Stop loss levels
- Take profit targets
- Position sizing
Always use proper risk management:
- Maximum 1-2% risk per trade
- Use stop losses
- Follow your trading plan
## Performance Notes
**Validated Backtest Results (SuperTrend + ADX only):**
- Win Rate: 52.11%
- Profit Factor: 3.162
- Return: +45.46% (4 years)
- Tested Period: 2020-2024
- Instrument: BTC/USDT 4H
**Important:** Adding additional filters changes the system. Results may vary. Always backtest your specific configuration before live trading.
## Mobile Optimization
- Compact table design
- Clear color coding
- Minimal chart clutter
- Large signal text
- Optimized for small screens
## Use Cases
✅ **Ideal for:**
- Trend-following strategies
- Swing trading (4H timeframe)
- Clear market conditions
- Systematic traders
❌ **NOT ideal for:**
- Scalping (too slow)
- Range-bound markets
- Counter-trend strategies
- Lateral/choppy conditions
## Credits & Methodology
Based on proven technical analysis principles:
- SuperTrend (volatility-based trend following)
- ADX (trend strength measurement)
- Directional Indicators (DI+/DI-)
- Volume analysis
- EMA systems
**Designed for:** Disciplined execution over frequent trading
**Philosophy:** Quality setups > Quantity of trades
## Disclaimer
This indicator is for educational purposes only. Past performance does not guarantee future results. Always:
- Test on demo account first
- Use proper risk management
- Never risk more than you can afford to lose
- Consult a financial advisor
Trading involves substantial risk. This tool does not constitute financial advice.
---
## Version History
**v2.0 (Current)**
- Modular filter system
- 2-column compact status table
- EMA 7 dynamic coloring (yellow when ADX >23)
- EMA 50 + VWAP added
- PDH/PDL levels
- EMA cross markers
- Improved signal logic
- One position per trend
- Multiple alert conditions
---
**For support, updates, or feedback, contact the developer.**
파인 유틸리티
Renko Average Bricks This indicator calculates the average RENKO brick streaks. Streaks=consecutive bricks of the same color. EX. G= 1 streak of 1. GGG = 1 streak of 3. RR 1 streak of 2. Single bricks count. There is the option for look back period which can be changed but Defaults to 50. Calculates the last 50 completed green streaks and then averages them. Same with red streaks. Only closed bricks count.
Very Simple and can be used for targets, ect.
Cheers
Position CalculatorAn on chart indicator that helps you calculate position sizes, risk/reward ratios, and potential profit/loss for your trades.
Crypto ATR Position Sizer + LeverageThis indicator is a "heads-up display" for crypto traders who need real time risk management without manually calculating position sizes. It uses Average True Range (ATR) to dynamically place Stop Losses based on current market volatility and automatically calculates the exact position size needed to respect your risk percentage.
Key Features:
Dynamic Risk Management: Stop Loss and Take Profit levels adjust automatically based on market volatility (ATR).
Auto-Position Sizing: Calculates the exact Quantity (in coins) and Position Value (in $) to ensure you never risk more than your defined percentage (e.g., 1% or 2%).
Leverage Calculator: Instantly sees the "Required Leverage" needed to execute the trade size relative to your account balance.
Crypto Precision: Displays up to 8 decimal places, making it compatible with both Bitcoin and low-sat altcoins.
Toggable Direction: Switch between Long and Short biases instantly via the settings menu.
How to Use:
Add the indicator to your chart.
Open Settings and input your Account Balance and Risk %.
Choose your direction (Long or Short) using the checkboxes.
The label will display your Entry, SL, TP, Coin Quantity, and Required Leverage in real-time.
Swing Trading Indicator: RSI + EMA + MACD + BB Signals**Swing Trading Indicator: Multi-Indicator Confluence Signals**
This indicator identifies high-probability swing trading setups using RSI pullbacks, EMA trend filter, MACD momentum confirmation, and Bollinger Bands for volatility-based entries. Perfect for daily/4H charts on stocks like TSLA or SPY.
**Key Features:**
- **Long Signal (Green ↑ Arrow)**: Uptrend (above 200 EMA) + RSI crosses above oversold (default 30) + MACD bullish crossover + Price at/near BB lower band + Optional squeeze filter.
- **Short Signal (Red ↓ Arrow)**: Mirror for downtrends.
- **Real-Time Dashboard**: Top-right table shows condition status (✓/✗) and "LONG/SHORT READY" alerts.
- **Customizable**: Adjust RSI levels, BB multiplier, enable/disable shorts/squeeze/arrows.
- **Alerts**: Built-in for entry notifications.
**How to Use:**
1. Add to chart (daily timeframe recommended).
2. Watch for arrows + "READY" in dashboard.
3. Manual entry: Risk 1% per trade, target 1:2 reward (e.g., trail stops).
**Backtest Note**: Based on similar setups, ~55-65% win rate in trending markets (test yourself). Not financial advice—trading involves risk. Fork and improve!
#swingtrading #RSI #MACD #BollingerBands #PineScript
SigmaFlowSigmaFlow is a professional signal management connector designed to work with the SigmaFlow app. This indicator allows traders to structure trade setups (Entry, Stop Loss, TP1, TP2) on TradingView and send them into the SigmaFlow platform, where signals are managed, tracked, and delivered to Telegram.
Professional signal management — from TradingView to Telegram.
How SigmaFlow Works:
Sends trade data from TradingView to Telegram via the SigmaFlow platform.
SigmaFlow handles signal management, organization, history tracking, performance metrics, and Telegram delivery.
What It Does NOT Do:
Does not generate trading signals
Does not provide investment advice
Does not execute trades
Requirements:
TradingView plan with webhook alerts*
Active SigmaFlow account*
Disclaimer
SigmaFlow is a signal management and delivery tool only. All trade ideas are created manually by users. Trading involves risk and past performance does not guarantee future results.
JAM ALGO Signals
"Remove the filters to view signals, then customize the parameters to your preference and enjoy using the indicator!" ✅
JAM ALGO Signals
Description:
🚀 Advanced Trading Signals with Risk Management & Alerts
This indicator is a complete all-in-one tool for traders seeking precise entries and exits with built-in risk management and real-time statistics. It combines RSI and EMA-based analysis, projected Take Profit (TP) and Stop Loss (SL) levels, customizable filters, and premium alerts directly on your TradingView chart.
✨ Key Features:
Entry Signals 🔹
Buy & Sell signals based on price action and RSI conditions.
Trend confirmation via EMA (200 and optional 50-period filters).
Visual signals: Labels, Arrows, Triangles, or Text.
Risk Management (RR) ⚖️
Define Stop Loss (SL) and multiple Take Profit levels (TP1, TP2, TP3) based on risk ratio (R).
Configurable projection bars to visualize target levels.
Colored zones for TP & SL, with optional borders for clarity.
Premium Alerts 🔔
Alerts for BUY / SELL signals, TP1 / TP2 / TP3, and SL hits.
Instant notifications when levels are reached.
Advanced Filters 🛡️
EMA50 Trend Filter: confirms short-term trend.
RSI Direction Filter: ensures momentum alignment.
Volatility Filter (ATR14 > Range): ensures enough market movement.
Candle Size Filter: avoids entries on too small candles.
SL Overlap Filter: prevents trades overlapping existing SL levels.
Real-Time Statistics 📊
Total trades, wins (TP1), and losses (SL).
Winrate (%), cumulative profit, and average RR ratio.
Optimizes strategy tracking directly on the chart.
Customizable Visuals 🎨
TP & SL line colors and styles (solid, dashed, dotted).
Fully adjustable signal labels (color, size, type).
Configurable stats table with background & text colors.
🔥 Advantages:
Complete tool for day trading and swing trading.
Clear visualization of critical risk/reward levels.
Automatic alerts for fast reaction without constant monitoring.
Integrated statistics for performance evaluation and strategy improvement.
Recommended for:
Traders using price action, intraday strategies, scalping, or swing trading, who want advanced risk management with visual signals and performance analytics on TradingView.
Backtest any Indicator [Target Mode] StrategyUniversal Backtester Strategy with Sequential Logic
This strategy serves as a highly versatile, universal backtesting engine designed to test virtually any indicator-based trading system without requiring custom code for every new idea. It transforms standard indicator comparisons into a robust trading strategy with advanced features like sequential entry steps, dynamic target modes, and automated webhook alerts.
The core philosophy of this script is flexibility. Whether you are testing simple crossovers (e.g., MA Cross) or complex multi-stage setups (e.g., RSI overbought followed by a MACD flip), this tool allows you to configure logic via the settings panel and immediately see backtested results with professional-grade risk management.
Core Logic: Source vs. Target Mode
The fundamental building block of this strategy is the "Comparator" engine. Instead of hard-coding specific indicators, the script allows users to define logic slots (L1-L5 for Longs, S1-S5 for Shorts).
Each slot operates on a flexible comparison logic:
Source: The primary indicator you are testing (e.g., Close Price, RSI, Volume).
Operator: The condition to check (Equal/Cross, Greater Than, Less Than).
Target Mode:
Value Mode: Compares the Source against a fixed number (e.g., RSI > 70).
Source Mode: Compares the Source against another dynamic indicator (e.g., Close > SMA 200).
This "Target Mode" switch allows the strategy to adapt to almost any technical analysis concept, from oscillator levels to moving average trends.
Advanced Entry System: Sequential Steps (1-5)
Unlike standard backtesters that usually require all conditions to happen simultaneously (AND logic), this strategy implements a State Machine for sequential execution. Each of the 5 entry slots (L1-L5 / S1-S5) is assigned a "Step" number.
The logic flows as follows:
Stage 1: The strategy waits for all conditions assigned to "Step 1" to be true.
Latch & Wait: Once Step 1 is met, the strategy "remembers" this and advances to Stage 2. It waits for a subsequent bar to satisfy Step 2 conditions.
Trigger: The actual trade entry is only executed once the highest assigned step is completed.
Example Use Case:
Step 1: Price closes below the Lower Bollinger Band (Dip).
Step 2: RSI crosses back above 30 (Confirmation).
Execution: Buy Signal triggers on the Step 2 confirmation candle.
This creates a realistic "Setup -> Trigger" workflow common in professional trading, preventing premature entries.
Exit Logic & Risk Management
The strategy employs a dual-layer exit system to maximize profit retention and protect capital.
1. Signal-Based Exits (OR Logic) There are 5 configurable exit slots (LX1-LX5 / SX1-SX5). Unlike entries, these operate on "OR" logic. If any enabled exit condition is met (e.g., RSI becomes overbought OR Price crosses below EMA), the position is closed immediately.
2. Hard Stop & Take Profit
Fixed %: Users can set a hard percentage-based Stop Loss and Take Profit.
Trailing Stop: A toggleable "Trailing?" feature allows the Stop Loss to dynamically trail the price.
Longs: The SL moves up as the price makes new highs.
Shorts: The SL moves down as the price makes new lows.
Automated Alerts & Webhooks
This script is built with automation in mind. It includes a dedicated makeJson() function that constructs a JSON payload compatible with most trading bots (e.g., 3Commas, TradersPost, Tealstreet).
Alert Modes Supported: | Alert Type | Description | | :--- | :--- | | Order Fills Only | Triggers standard TradingView strategy alerts when the broker emulator fills an order. | | Alert() Function | Triggers specific JSON payloads defined in the code ("action": "buy", "ticker": "MNQ", etc.). |
The script automatically calculates the alert quantity based on your equity percentage settings, ensuring the payload matches your backtest sizing.
Dashboard & Visuals
To aid in rapid analysis, the strategy includes visual tools directly on the chart:
Performance Table: A dashboard (top-right) displays real-time stats including Net Profit, Win Rate, Profit Factor, and Max Drawdown.
Trade Markers: Custom labels (goLong, exLong) show exactly where trades opened and closed, including the trade number and profit percentage.
SL/TP Visualization: Dynamic step-lines (Orange for SL, Lime for TP) show exactly where your protection levels are sitting, helping you visually verify if your stops are too tight or too loose.
CD + NX (with CD Bottom Alert)It combines custom bands with optional buy & sell signals, making it easier to spot potential entry and exit opportunities across multiple timeframes.
梯子NX指标,显示长短周期趋势
the buy & sell signals is no repaint or using the future functionality.
cd指标,无未来函数 repaint的抄底卖出指标
after buying, I will provide a PDF and more information for how to use this one.
添加抄底警报,详细用法/打法付费后会有详细教程
Deneme Elmas Formasyonu 2.0Elmas Formation 2.0 is a proprietary, invite-only market analysis indicator designed to identify high-quality momentum and trend alignment across multiple internal layers. Advanced parameter controls (Dia / Mond / EON) are available only in the Pro version.
Trial users see a protected visualization while the core engine remains fully active.
Buy / Sell Signals With Take Profits (Non-Repaint)This indicator generates automatic BUY/SELL flip signals based on trend direction, volatility status, and ATR dynamics.
Labels are placed based on actual High/Low and do not shift.
Features
✔ Dynamic ATR Multipliers
✔ Volatility Stretch (calm market → narrow, aggressive → wide)
✔ Trend Memory (25-bar direction memory)
✔ Automatic TP1–TP5 (%1 – %5) calculation
✔ Desktop & Mobile compatible TP Panel
✔ Bull/Bear Flip labels
✔ TradingView alert support
Suitable Markets
Forex, Crypto, Stocks, Indices, Gold, Oil
Works on all timeframes (5min – 1min – 4min – Daily).
⚠ Important Note
This tool is not investment advice.
It does not provide any buy–sell recommendations.
All trading decisions are yours; risk management is entirely the user's responsibility.
ALFA BUY IndikatorThis indicator is an improved version of the Mucip + Yağız indicator. I have been using it smoothly for the past 3 months.
I use it on futures markets for the three major coins such as BNB/USDT, BTC/USDT, and ETH/USDT.
My usage logic is as follows: on average, it generates around 2 signals per coin per day.
For each trade, I enter positions using 4–5% of my total capital.
I use 25x leverage on ETH and BNB, and 50x leverage on BTC.
My take-profit levels are 0.25% for BTC and 0.5% for the others, which results in approximately 10–12% profit per trade.
Overall, the average daily capital growth is around 2–3%.
Note: I use a trading bot for executions, because the indicator is designed for 2-minute charts, and it is almost impossible to catch the signals manually.
So far, everything has been working flawlessly, and it performs best on 2-minute timeframes.
Super Prime Indicator [TraderCloud]⭐🧠 Super Prime Indicator 🧠⭐
ML-Enhanced SMI + Whale Hunter Pro
Super Prime Indicator is an advanced, all-in-one market intelligence tool that combines machine-learning-enhanced SMI, Whale Hunter Pro logic, multi-timeframe trend analysis, and probabilistic market modeling into a single, highly visual oscillator.
Designed for professional crypto traders, this indicator focuses on identifying institutional activity, high-probability reversals, and trend continuation zones with precision.
🔹 Core Components
🧠 Machine Learning SMI (KNN-Enhanced)
Traditional SMI upgraded with K-Nearest Neighbors (KNN) learning
Adaptive overbought / oversold levels based on historical behavior
Feature-based distance analysis (momentum, volatility, slope, etc.)
Optional Kalman, Double EMA, or ALMA filtering
🐋 Whale Hunter Pro System
RSI divergence detection across multiple pivot scales
KDE (Kernel Density Estimation) probability modeling
Institutional bias detection using Open Interest (OI) and CVD filters
Strict / Moderate / Aggressive signal modes
Whale buy/sell zones with visual background highlights
📊 Multi-Timeframe Trend Dashboard
Real-time trend alignment across
1m / 5m / 15m / 1H / 4H / 1D / 1W
Clear bullish / bearish status table for top-down analysis
📈 Advanced Divergence Engine
Regular & hidden divergence detection
Short, medium, and long-term pivot sets
Dynamic divergence line plotting with strength-based visuals
📐 Bayesian Probability Model
Probabilistic market direction estimation
Uses Bollinger Bands & SMA state sequences
Normalized directional probability output for risk assessment
🎯 Trading Use Cases
Identify smart money accumulation & distribution
Spot high-probability reversals before price confirmation
Confirm trend continuation with multi-TF alignment
Filter false signals using OI & CVD confirmation
Combine momentum, structure, and probability in one view
🎨 Visual & UX Features
Neon / color-blind friendly palettes
Gradient-based momentum zones
Clean oscillator design with minimal chart clutter
Whale emoji signals for instant recognition
RSI Info WindowRSI Info Window is a minimalist overlay utility that displays the current RSI value and a simple market state label (Overbought, Oversold, or Neutral) directly on the chart. The goal is to provide quick RSI context without using a separate oscillator pane, helping keep the chart clean for price-action, SMC, and structure-based trading.
How it works
Calculates RSI using the selected RSI Length (default 14).
Compares RSI to the Overbought and Oversold thresholds (default 70/30).
Displays a small label on the most recent candle showing:
RSI value
Current state: Overbought / Oversold / Neutral
The label updates in real time as the latest candle forms.
Inputs
RSI Length – Controls RSI sensitivity (default 14)
Overbought Level – RSI threshold for overbought (default 70)
Oversold Level – RSI threshold for oversold (default 30)
How to use
Overbought: RSI above the overbought level — may indicate momentum is extended; watch for continuation vs exhaustion based on your system.
Oversold: RSI below the oversold level — may indicate downside extension; watch for reversal conditions and structure confirmation.
Neutral: RSI between thresholds — often indicates balanced conditions or consolidation.
This indicator is designed as a compact reference tool, not a complete trading system.
Notes
The overlay label is anchored to the most recent candle and refreshes on the last bar.
Intended to save screen space vs. a full RSI subpanel.
Disclaimer
This script is for educational and informational purposes only and does not constitute financial advice. Always use risk management and confirm signals with your broader trading plan.
Range Strategy (kasatura84)Winning Range Strategy (Set Heikin Ashi Candles)
Incredible winning strategy. You have to set Heikin Ashi Candles to activate strategy! It works both long and short trades.
SMC KZ NYThis script plots vertical lines on the chart to highlight KZ opens and closes based on New York time.
Key characteristics:
The indicator is plotted on the price chart (overlay).
It draws thin, dotted vertical lines at specific kz.
Killzones are calculated using the America/New_York timezone to ensure correct alignment.
Only weekdays (Monday to Friday) are considered.
The script draws sessions for today and up to one week back (maximum 7 calendar days).
All drawings are created once on the last bar to avoid duplicates and performance issues.
Each session has its own color for clear visual distinction:
Asia KZ(open)
London KZ (open and close)
New York / KZ Morning (open and close)
Lunch (open and close)
New York / KZ Afternoon (open and close)
The Asia KZ open at 20:00 NY is intentionally excluded on Fridays, as there is no valid Asia KZ start on Friday evening.
The vertical lines extend across the entire visible price range of the chart.
The script is optimized to stay well within TradingView object limits.
Purpose:
The indicator is designed to give traders a clean, non-intrusive visual reference for key KZ transitions, helping to analyze price behavior around killzones opens and closes without cluttering the chart.
SMC Sessions NYThis script plots vertical session markers on the chart to highlight session opens and closes based on New York time.
Key characteristics:
The indicator is plotted on the price chart (overlay).
It draws thin, dotted vertical lines at specific session times.
Sessions are calculated using the America/New_York timezone to ensure correct alignment.
Only weekdays (Monday to Friday) are considered.
The script draws sessions for today and up to one week back (maximum 7 calendar days).
All drawings are created once on the last bar to avoid duplicates and performance issues.
Each session has its own color for clear visual distinction:
Asia session (open)
London session (open and close)
New York / Kill Zone Morning (open and close)
Lunch session (open and close)
New York / Kill Zone Afternoon (open and close)
The Asia session open at 20:00 NY is intentionally excluded on Fridays, as there is no valid Asia session start on Friday evening.
The vertical lines extend across the entire visible price range of the chart.
The script is optimized to stay well within TradingView object limits.
Purpose:
The indicator is designed to give traders a clean, non-intrusive visual reference for key session transitions, helping to analyze price behavior around session opens and closes without cluttering the chart.
This approach is suitable for intraday and session-based trading models, including SMC-style workflows.
ROLLING REVERSAL FROM TOP/BOTTOMThis strategy helps users who want to find mean reversion in those scripts that have gone up/down by significant margin.
Users can set a percentage by which if a coin/script moves up/down by then supertrend becomes active, and the trades are taken on the reversal side.
For additional option we have added a reference symbol and custom time frame to be checked before taking the trade.
This can be fully automated with most crypto exchanges.
Pardos Info DashboardThis indicator presents basic data in a concentrated form
Additions to the indicator are welcome by email to gshayp@gmail.com
2 Dip/Tepe + Destek/Direnç + Tek Sinyal Stratejisi⭐ A Brief Summary of What the Strategy Does
🎯 1) Market analysis is being released (bottom-top analysis)
It automatically finds pivot bottoms and pivot tops on the strategic chart. Then:
If the bottoms are rising (HL – High Low): the trend is upward
If the tops are falling (LH – Lower High): the trend is downward
it interprets this.
🎯 2) Support and resistance lines are formed
Last pivot top = resistance line
Last pivot bottom = support line
These lines are automatically drawn on the chart.
🎯 3) Breakout is expected according to the trend structure
For LONG:
The last two bottoms will be rising bottoms
The price will rise above the last resistance line
This gives a single LONG signal.
For SHORT:
The last two peaks will be falling peaks
The price will fall below the support line
This gives a single SHORT signal.
RTH Yesterday & Today Premarket Levels## **RTH Yesterday & Today Premarket Levels**
This indicator plots the most commonly used **institutional reference levels** for intraday trading:
* **Yesterday’s Regular Trading Hours (RTH) High**
* **Yesterday’s Regular Trading Hours (RTH) Low**
* **Yesterday’s Regular Trading Hours (RTH) Close**
* **Today’s Premarket High**
* **Today’s Premarket Low**
All levels are drawn as **straight horizontal lines with labels** and remain fixed throughout the current session.
---
### **How Levels Are Calculated**
**Yesterday’s Levels (RTH only)**
* Computed strictly from **Regular Trading Hours (09:30–16:00 exchange time)**.
* Extended-hours data is **excluded** to avoid distortion.
* Captures true institutional highs, lows, and closing price.
**Today’s Premarket Levels (PM only)**
* Computed strictly from **today’s premarket session (04:00–09:29)**.
* Resets daily and does not include prior days.
* Levels finalize once premarket ends and extend across the regular session.
---
### **Key Features**
* Exactly **5 fixed reference levels**, no historical clutter
* **Non-repainting**: levels do not change once established
* **No zig-zags or plots**; only clean horizontal lines
* Customizable **line colors and thickness**
* Labels clearly identify each level:
* Y High
* Y Low
* Y Close
* PM High
* PM Low
---
### **Best Use Cases**
* Intraday trading (1m, 5m, 15m)
* VWAP and momentum strategies
* Gap-and-go or fade setups
* Support/resistance validation
* Options trading and scalping
These levels often act as **decision points, liquidity magnets, and rejection zones** during the regular session.
---
### **Required Settings**
* Use **intraday timeframes**
* Enable **Extended Hours** in TradingView’s symbol settings
* Designed for **US equities** using exchange time
---
### **Trader Notes**
This script is intentionally minimalist. It shows only the **most relevant prior-day and premarket price references** used by professional traders, avoiding noise from multi-day indicators or derived averages.
SuperTrend Crypto v2This is an advanced version of Supertrend with Capabilites to add TGT/SL/TSL in points and percentage.
User can also Fire Entry and exit qty in dollars seperately.
Buy logic triggers signal when supertrend turns from red to green and vice versa for short.
Added options module to fire orders in options in multiple exchanges like Delta, Coinswitch and more.
Added Indian intraday mode incase if users want to use it for Indian markets as well.





















