🏆 GoldTradePro AutoCycle v5.0To trigger my alerts, this script is brilliant, a sensational indicator. Ask me for more if you're interested.
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Volatilidad Multi-TF📊 Multi-Timeframe Volatility (ATR%)
Description
Indicator that displays the current asset's volatility across multiple timeframes simultaneously. It uses the ATR (Average True Range) normalized as a percentage of price, allowing for objective volatility comparison across different timeframes.
✨ Key Features
- Multi-Timeframe Analysis: Visualize volatility across 5 different timeframes (1H, 4H, D, W, M)
- Normalized Volatility: ATR expressed as a percentage of price for accurate comparison
- Compact Table: Clean and easy-to-read interface in the corner of your chart
- Auto-Update: Automatically adapts to the asset you're viewing
- No Additional Plots: Only displays essential information in table format
🎯 How to Use
1. Add the indicator to your chart
2. The table will automatically display the current asset's volatility
3. Percentage values allow you to quickly identify:
- Which timeframe has higher/lower volatility
- Divergences between timeframes
- High or low volatility zones to adjust your strategies
⚙️ Configurable Parameters
- ATR Period: Default 14, adjust according to your strategy
📈 Practical Applications
- Risk Management: Adjust position sizing based on current volatility
- Asset Selection: Identify assets with suitable volatility for your profile
- Entry Timing: Detect volatility expansions/contractions
- Timeframe Analysis: Compare volatility across different time periods
💡 Technical Notes
- Normalized ATR allows volatility comparison between assets with different prices
- Useful for both intraday trading (1H, 4H) and swing/positional trading (D, W, M)
- Compatible with any market: cryptocurrencies, forex, stocks, indices
⚠️ Disclaimer
This indicator is a technical analysis tool. It does not constitute financial advice. Conduct your own analysis and risk management before trading.
KARAKAS
Strategy Philosophy and Objective
This strategy is a high-probability Mean Reversion system. It is based on the principle that markets behave like a stretched rubber band: when the price moves too far away from its average value (the band is stretched), it has a high tendency to eventually snap back towards its mean.
The objective of this strategy is to identify these moments of "extreme extension" and to capture the highest probability move as the price reverts to its average. Rather than acting hastily, it employs a multi-layered confirmation system to trade only on the highest quality signals.
Strategy Profile
Strategy Name: Final Optimized Strategy
Type: Mean Reversion
Recommended Timeframe: Developed on M15 (15-Minute).
Suitable Markets: High-volume, volatile assets. Ideal for Indices (US100, S&P500), Major Forex Pairs (EUR/USD, GBP/USD), and Commodities (Gold).
Core Tools:
Bollinger Bands: Period: 20, Standard Deviation: 2.2
RSI (Relative Strength Index): Period: 14, Overbought/Oversold Levels: 75 / 25
USDT.D Precision USDT.D Candles: overlays candle OHLC for CRYPTOCAP:USDT.D using request.security, renders real candles via plotcandle() on the main chart (overlay=true). Precision configurable (3–4 dp), optional last-value readout. Hide the base symbol to view only the candles.
Opening Times - Horizontal LinesThis indicator automatically plots the Nasdaq (NQ) session opening prices based on UK time — typically the 23:00 (Asia session) and 13:30 (New York session) opens.
It includes full customization options:
- Define custom open times (HH:MM) and session start
- Choose line color, style, thickness, and extension length
- Fully configurable labels (text color, size, alignment, price display, box visibility)
- Option to display only the current session or the last N sessions
- Lines and labels stay perfectly aligned to the right edge for clarity
Ideal for traders who follow ICT session concepts, liquidity models, or session-based setups (e.g., 13:30 NY open or 23:00 Asia open).
This script is timezone-aware (Europe/UK) and designed to keep your chart clean, precise, and consistent across sessions.
RPT Position Sizer🎯 Purpose
This indicator is a position sizing and stop-loss calculator designed to help traders instantly determine:
How many shares/contracts to buy,
How much risk (₹) they are taking per trade,
How much capital will be deployed, and
The precise stop-loss price level based on user-defined parameters.
It displays all key values in a compact on-chart table (bottom-left corner) for quick trade planning.
💡 Use Case
Perfect for discretionary swing traders, systematic position traders, and risk managers who want instant visual feedback of trade sizing metrics directly on the chart — eliminating manual calculations and improving discipline.
⚙️ Key Features
Dynamic Inputs
Trading Capital (₹) — total available capital for trading.
RPT % — risk-per-trade as a percentage of total capital.
SL % — stop-loss distance in percent below CMP (Current Market Price).
CMP Source — can be linked to close, hl2, etc.
Rounding Style — round position size to Nearest, Floor, or Ceil.
Decimals Show — control number formatting precision in the table.
Core Calculations
SL Points: CMP × SL%
SL Price: CMP − SL Points
Risk Amount (₹): Capital × RPT%
Position Size: Risk ÷ SL Points
Capital Used: Position Size × CMP
Clean On-Chart Table Display
Displays:
Trading Capital
RPT %
Risk Amount (₹)
Position Size (shares/contracts)
Capital Required (₹)
Stop-Loss % & SL Price
The table uses a minimalistic white-on-black design with clear labeling and rupee formatting for quick reference.
Data Window Integration
Plots hidden values (Position Size, Risk Amount, SL Points, Capital Used) for use in TradingView’s Data Window—ideal for strategy testing and exporting values.
Volume MatrixVolume Matrix (VM) is a comprehensive volume and position-sizing toolkit designed to help traders interpret market participation and manage trade risk efficiently.
It combines volume analytics, risk-adjusted position sizing, and stock-specific financial data — all in a clear, visual, and automated format directly on TradingView charts.
The indicator integrates capital management, episodic volume spikes, and market capitalization data into a single, intuitive framework, giving traders an edge in both decision-making and discipline.
⚙️ Core Components & Features
🧩 1. Position Sizing & Risk Management
A dynamic risk table helps traders determine how much to trade and how much to risk per position, adapting automatically based on user inputs:
- Capital (CP): Total account size (₹ or $).
- Risk Mode (R): Choose between Percentage of capital or fixed Currency value.
- Lot Size Mode: Optional toggle to align quantities with F&O lot sizes (India-based).
- Standard Stop-Loss (SSL): Displays position quantities for three custom stop-loss levels (e.g., 0.75%, 1%, 1.25%).
- % Distance Metrics: D: Distance from day’s low/high (helps assess stop distance). DH: Distance from mid-body (useful for candle risk assessment). Auto-adjusts based on whether the trader is in Long, Short, or Both mode.
📈 Helps answer:
“How much quantity should I trade at my desired risk level?”
🔶 2. Volume Visualization
- Plots volume bars with default up/down coloring.
- Green for bullish bars.
- Red for bearish bars.
- Designed for quick visual differentiation of buying/selling pressure.
🚀 3. Episodic Pivot (EP) Detector
Identifies high-volume breakout or capitulation days, often marking significant turning points or trend initiations.
- Highlights bars where volume exceeds a custom threshold (in millions).
- Marks them visually with an orange triangle under the candle.
-Best used on daily charts to spot institutional footprints.
📊 Helps answer:
“Is today’s volume large enough to signal major institutional activity?”
🧾 4. Data Metrics Table
Displays fundamental and contextual data about the asset:
- Market Capitalization (MC): Auto-calculated using outstanding shares × price.
- Free Float (FF): Value of tradable shares in currency or Cr (INR).
- Industry × Sector × F&O Status: Shows the company’s industry and sector classification. Displays FC (Futures Contract) or NFC (Non-F&O stock).
- Customizable appearance: Choose between text/value display, text color, and background color. Flexible positioning and size control to suit any chart layout.
📚 Helps answer:
“What type of stock is this, how big is it, and does it trade in futures?”
🪄 5. User Interface Customization
- Modular UI grouped by functionality (Risk, Direction, Metrics, Volume, etc.).
- Flexible table position & size (Top/Bottom/Middle & Tiny–Huge).
- All elements are toggleable, giving full control over displayed data.
- Built to ensure visual clarity on any chart background.
| Trading Goal | How Volume Matrix Supports It |
| ------------------------------ | -------------------------------------------------------------- |
| **Risk Management** | Calculates optimal trade size and risk exposure automatically. |
| **Position Sizing Discipline** | Enforces consistent sizing across trades using SSL levels. |
| **Volume Confirmation** | Highlights institutional participation via Episodic Pivots. |
| **Stock Context Awareness** | Shows market cap, sector, and float value instantly. |
| **Efficiency** | Reduces manual work — no need for calculators or spreadsheets. |
💡 In Short
Volume Matrix simplifies trade planning, brings transparency to risk, and connects volume with context — all in one elegant visual tool.
Perfect for:
- Discretionary traders refining entries and sizing.
- Swing traders watching for volume-based pivots.
- Analysts who want price-volume fundamentals at a glance.
TSWA⚡️ Indicator Description:
This indicator is specially designed for scalping trades, providing accurate entry and exit signals for short-term opportunities.
With proper use and risk management, it can deliver between 20 to 200 pips per day, depending on market volatility and session activity.
💡 Best Trading Sessions:
🕐 Asian Session
🕕 London Session
(It can also perform well during the New York session, but it’s not recommended due to high volatility and unpredictable price movements.)
⚙️ Key Features:
Accurate buy/sell signals optimized for scalping.
Works effectively on most forex pairs and indices.
Best results on lower timeframes (M1).
Ideal for intraday traders seeking fast, frequent opportunities.
🚀 Usage Tips:
Always apply proper risk and money management.
Avoid trading during high-impact news releases.
Combine with price action or confirmation indicators for higher accuracy.
Лунный Индикатор с RSI и Импульсными АлертамиЭтот индикатор для TradingView сочетает астрономические данные о фазах Луны с техническим анализом (RSI) для выявления потенциальных импульсных движений на рынках, таких как S&P 500 (SPY) и Bitcoin (BTCUSD). Он основан на исторических корреляциях: повышенная доходность и импульсы вверх вокруг новой Луны, а также рост волатильности и риски падений около полнолуния. Индикатор помогает трейдерам получать алерты о возможных торговых возможностях, фильтруя сигналы через RSI для большей точности.
Ключевые функции:
Расчёт фазы Луны: Использует формулу Julian Day для определения текущей фазы (0% — новая Луна, 50% — полнолуние, 100% — следующая новая). Референс: новая Луна 6 января 2000 г. (JD ≈ 2451550.2597). Длина цикла — 29.530588 дней.
Визуализация:
Линия "Фаза Луны (%)" (синяя) отображает фазу в процентах.
Метки на графике: 🌑 Новая (0-3.3% или >96.7%), 🌓 1-я четверть (21.7-28.3%), 🌕 Полная (46.7-53.3%), 🌗 Последняя четверть (71.7-78.3%).
Линия RSI (оранжевая) для мониторинга перекупленности/перепроданности (период настраивается, по умолчанию 14).
Сигналы и алерты (на основе исторических паттернов):
Новая Луна: Алерты о потенциале импульса вверх, если RSI < 50 (не перекуплено). Исторически: выше доходность для S&P 500 и BTC (bullish реверсы). Фон — зелёный.
Полнолуние: Алерты о рисках волатильности/падения, если RSI > 50 (перекуплено). Исторически: sharp moves для BTC, ниже доходность для S&P. Фон — красный.
Алерты срабатывают на переходах фаз (с помощью ta.change), чтобы избежать повторений.
Настройки:
Период RSI: Изменяйте в input для адаптации под таймфрейм (рекомендуется D1 или H4 для лунных циклов).
Как использовать:
Добавьте индикатор на график SPY или BTCUSD.
Настройте алерты в TradingView для уведомлений.
Тестируйте на исторических данных: проверьте корреляции с реальными движениями цен.
Важно: Это не финансовая рекомендация. Рынки непредсказуемы; комбинируйте с другими инструментами. Точность фазы ±1 день; для идеальной — обновите ref_jd по актуальным данным.
Источник данных: Основан на астрономических формулах и исследованиях корреляций Луны с рынками (например, из JSTOR, SSRN). Разработано для образовательных целей.
Description of the Indicator: Lunar Indicator with RSI and Impulse Alerts
Overview:
This TradingView indicator combines astronomical data on lunar phases with technical analysis (RSI) to identify potential impulse movements in markets like S&P 500 (SPY) and Bitcoin (BTCUSD). It is based on historical correlations: higher returns and upward impulses around the new moon, as well as increased volatility and downside risks near the full moon. The indicator helps traders receive alerts about possible trading opportunities, filtering signals through RSI for greater accuracy.
Key Features:
Lunar Phase Calculation: Uses the Julian Day formula to determine the current phase (0% — new moon, 50% — full moon, 100% — next new moon). Reference: new moon on January 6, 2000 (JD ≈ 2451550.2597). Cycle length — 29.530588 days.
Visualization:
"Moon Phase (%)" line (blue) displays the phase in percentages.
Chart labels: 🌑 New (0-3.3% or >96.7%), 🌓 First Quarter (21.7-28.3%), 🌕 Full (46.7-53.3%), 🌗 Last Quarter (71.7-78.3%).
RSI line (orange) for monitoring overbought/oversold conditions (period adjustable, default 14).
Signals and Alerts (Based on Historical Patterns):
New Moon: Alerts for potential upward impulse if RSI < 50 (not overbought). Historically: higher returns for S&P 500 and BTC (bullish reversals). Background — green.
Full Moon: Alerts for volatility/downside risks if RSI > 50 (overbought). Historically: sharp moves for BTC, lower returns for S&P. Background — red.
Alerts trigger on phase transitions (using ta.change) to avoid repetitions.
Settings:
RSI Period: Adjust in input to adapt to timeframe (recommended D1 or H4 for lunar cycles).
How to Use:
Add the indicator to a SPY or BTCUSD chart.
Set up alerts in TradingView for notifications.
Test on historical data: check correlations with real price movements.
Important: This is not financial advice. Markets are unpredictable; combine with other tools. Phase accuracy ±1 day; for perfection — update ref_jd based on current data.
Data Source: Based on astronomical formulas and studies on lunar correlations with markets (e.g., from JSTOR, SSRN). Developed for educational purposes.
Complete Trading Dashboard + Stop Loss Calculator
## **What Does This Indicator Do?**
This is like having a **smart trading assistant** that helps you:
1. ✅ Calculate exactly how much money to risk on each trade
2. ✅ Know when it's a good time to enter a trade (LONG or SHORT)
3. ✅ See what the market is doing right now
4. ✅ Never lose more money than you planned
---
## 🎯 **MAIN FEATURES (Explained Simply)**
### **1️⃣ Entry Score Window (Traffic Light System)**
- **What it does:** Tells you if NOW is a good time to buy (LONG) or sell (SHORT)
- **How it works:** Like a traffic light! 🚦
- **Green 80%+ = GO!** ✅ Very good entry opportunity
- **Yellow 60-80% = CAREFUL** ⚠️ Moderate opportunity
- **Red below 60% = STOP** 🛑 Not a good time
- **Best part:** It checks 3 different timeframes automatically (like asking 3 experts instead of 1!)
**Example:** If you see "LONG 85% ⭐⭐" = Strong signal to BUY!
---
### **2️⃣ Stop Loss Calculator (Your Safety Net)**
- **What it does:** Calculates EXACTLY where to exit if the trade goes wrong
- **Why you need it:** So you never lose your entire account!
**Simple Example:**
- You have $10,000 in your account
- You want to risk only 1% = $100
- The indicator shows you:
- ✅ Entry price: $50,000 (where to enter)
- ✅ Stop Loss: $49,000 (where to exit if losing)
- ✅ Take Profit: $53,000 (where to exit if winning)
- ✅ Position size: Exactly how much to buy
**Works for BOTH:**
- **Crypto/Stocks** (Bitcoin, Tesla, etc.)
- **Forex** (EUR/USD, GBP/USD) - Calculates in LOTS automatically!
---
### **3️⃣ Market Condition Score**
- **What it shows:** Is the market GREEDY 🔥 or FEARFUL 😰?
- **Why it matters:**
- High score (70+) = Market is excited, prices moving fast
- Low score (30-) = Market is scared, prices dropping
**Think of it like:** Checking if it's sunny ☀️ or stormy ⛈️ before going outside
---
### **4️⃣ Pivot Points (Support & Resistance)**
- **What it shows:** Important price levels where price might bounce or stop
- **Simple explanation:**
- **Support** = Floor (price might bounce UP from here) 🟢
- **Resistance** = Ceiling (price might bounce DOWN from here) 🔴
**Shows you:** How close the current price is to these important levels
---
### **5️⃣ Timeframe Bias (The Big Picture)**
- **What it shows:** Which direction are bigger traders moving?
- **Checks:** 4-Hour and Daily charts to see the "big money" direction
- **Why it matters:** Like checking which way the river flows before jumping in!
**Example:**
- 4H Bias: Bullish ▲ = Big traders are buying
- Daily Bias: Bullish ▲ = Even bigger traders are buying
- **Result:** Safer to trade LONG!
---
### **6️⃣ Technical Indicators (Simple)**
**RSI (Overbought/Oversold):**
- Above 70 = Price too high, might drop soon
- Below 30 = Price too low, might rise soon
**MACD (Momentum):**
- Bullish = Price has energy going UP 📈
- Bearish = Price has energy going DOWN 📉
**ATR (Volatility):**
- High = Price moving A LOT (dangerous but profitable)
- Low = Price moving slowly (safer but less profit)
**VWAP (Average Price):**
- Above VWAP = Price is strong ▲
- Below VWAP = Price is weak ▼
---
## 🎨 **VISUAL FEATURES**
### **Price Lines on Chart:**
- **Blue/Orange Line** = Your Entry Price
- **Red Dashed Line** = Your Stop Loss (exit here if losing)
- **Green Dashed Line** = Your Take Profit (exit here if winning)
### **Signal Dots on Chart:**
- **Green Triangle UP** = Good time to BUY (LONG) 🟢
- **Red Triangle DOWN** = Good time to SELL (SHORT) 🔴
- Shows the score on each dot!
---
## 🔔 **ALERTS**
Set alerts at different levels:
- **75%+** = Decent signal
- **80%+** = Good signal
- **85%+** = Strong signal
- **90%+** = EXCELLENT signal ⭐
You'll get notified on your phone when opportunities appear!
---
## ⚙️ **HOW TO USE (Step by Step)**
### **For Beginners:**
1. Add indicator to your chart
2. Set your **Deposit** amount (how much money you have)
3. Set **Position Size %** (2% is recommended = safe)
4. Set **Max Loss %** (1% is recommended = very safe)
5. Choose **Market Type**: Crypto/Stocks OR Forex
6. Watch the **Entry Score** - Wait for 80%+ signals!
7. When you see a good signal, check the **Stop Loss Calculator** for exact prices
### **For Advanced Traders:**
- Adjust **Risk/Reward Ratio** (Default 1:3 = risk $100 to make $300)
- Change **Leverage** (Higher = more profit but more risk!)
- Enable **Auto Direction Based on VWAP** (automatic LONG/SHORT)
- Use **ATR for Stop Loss** (dynamic stops based on volatility)
- Customize which sections to show/hide
---
## 💡 **REAL EXAMPLE**
**Scenario:** Trading Bitcoin
1. **Entry Score shows:** LONG 87% ⭐⭐ (EXCELLENT!)
2. **Stop Loss Calculator shows:**
- Entry: $45,000
- Stop Loss: $44,100 (2% below)
- Take Profit: $47,700 (1:3 ratio)
- Position Size: $200 with 5x leverage = $1,000 position
- Max Risk: $20 (1% of $2,000 deposit)
3. **Market Analysis shows:**
- 4H Bias: Bullish ▲
- Market Condition: 75 (Optimistic)
- RSI: 45 (Neutral, good for entry)
- Price near S1 Support
4. **Decision:** ✅ This is a GREAT setup! All signals aligned!
---
## ⚠️ **IMPORTANT SAFETY TIPS**
1. **Never risk more than 1-2% per trade** (Keep your account safe!)
2. **Wait for 80%+ entry scores** (Don't trade every signal)
3. **Always use Stop Loss** (Protect yourself!)
4. **Check higher timeframe bias** (Trade with the big trend)
5. **Start with small position sizes** (Learn first, profit later)
---
## 🎯 **WHO IS THIS FOR?**
✅ **Beginners:** Simple traffic light system + automatic calculations
✅ **Intermediate:** Multiple timeframe analysis + risk management
✅ **Advanced:** Full technical analysis + customizable parameters
✅ **Day Traders:** Fast signals on lower timeframes
✅ **Swing Traders:** Higher timeframe bias confirmation
✅ **Forex Traders:** Automatic lot size calculations
✅ **Crypto Traders:** Leverage and position size optimization
---
## 📱 **BEST PRACTICES**
1. Use on **15-minute to 4-hour charts** for best signals
2. Set **alerts at 85%+** for high-quality opportunities only
3. Always check **all 3 sections** before entering:
- Entry Score (80%+)
- Market Condition (not extreme fear/greed)
- Timeframe Bias (aligned with your direction)
4. **Paper trade first!** (Practice without real money)
5. Keep a trading journal of your entry scores vs results
---
This indicator is **100% FREE** and includes:
- ✅ Multi-timeframe entry scoring
- ✅ Complete stop loss calculator
- ✅ Market analysis dashboard
- ✅ Price level lines
- ✅ Signal dots with alerts
- ✅ Forex AND Crypto support
**No hidden features. No upgrades needed. Everything included!**
---
## ❓ **SIMPLE Q&A**
**Q: What's the best entry score to trade?**
A: Wait for 80% or higher (85%+ is even better!)
**Q: Can I use this for day trading?**
A: Yes! Works on any timeframe (15m, 1h, 4h, Daily)
**Q: Do I need other indicators?**
A: No! Everything you need is included
**Q: How much should I risk per trade?**
A: Start with 1% of your account (very safe!)
**Q: Does it work on Forex?**
A: Yes! It automatically calculates lot sizes for Forex
**Q: What's the Risk:Reward ratio mean?**
A: 1:3 means risk $100 to potentially make $300
**Q: Can I customize the dashboard?**
A: Yes! Show/hide any section in settings
---
## 📊 **PERFORMANCE TIPS**
To get the best results:
1. ⭐ Only trade when Entry Score is 80%+
2. ⭐ Check that 4H and Daily bias match your direction
3. ⭐ Enter near Support (for LONG) or Resistance (for SHORT)
4. ⭐ Use 1:3 or higher Risk:Reward ratio
5. ⭐ Never skip the Stop Loss!
---
**Remember:** This tool helps you make BETTER decisions, but it's not magic! Always practice good risk management and never trade with money you can't afford to lose.
**Good luck and trade safe! 🚀📈**
---
Last Candle of Hour Highlighter (M1 + M5)Highlights the last candle of every hour on 1-minute (M1) and 5-minute (M5) charts, making it easier to spot session closes, breakouts, and end-of-hour price action at a glance.
Detailed Description / How to Use:
This indicator automatically detects the last candle of each hour and changes its colour for quick visual reference. It’s designed for traders who use short-term timeframes (M1, M5) and want a clean visual cue for hourly closes.
Features:
• Automatically detects M1 and M5 timeframes.
• Highlights the last candle of each hour with a customisable colour.
• Optional Bull/Bear mode: colour changes depending on candle direction.
• Simple and lightweight — does not affect chart performance.
Inputs / Settings:
1. Color by Bull/Bear – Toggle on to automatically colour the last candle green (bullish) or red (bearish) based on its close relative to the open.
2. Highlight Colour – Choose a single colour if Bull/Bear mode is off.
3. Bullish Colour – Choose the colour for bullish last candles.
4. Bearish Colour – Choose the colour for bearish last candles.
Usage Tips:
• Works best on 1-minute and 5-minute charts.
• Ideal for spotting end-of-hour reversals, breakout candles, and momentum shifts.
• Can be combined with other indicators like support/resistance or moving averages for more advanced strategies.
Kyle交易系统核心信号EA | Kyle Core Signal EA System📘 概述 | Overview
中文:
Kyle交易系统核心信号EA是一款为现代交易者打造的多功能趋势识别与自动风控系统。
它集成了 Heikin Ashi 趋势检测 + ATR 波动通道 + EMA 趋势过滤,能在价格反转早期精准捕捉多空信号,并自动绘制止损与三重止盈结构。
English:
Kyle Core Signal EA System is an all-in-one trading assistant designed for modern traders who need trend precision, risk automation, and multi-target exits.
It combines Heikin Ashi, ATR Volatility Channels, and EMA Direction Filters to deliver clean Buy/Sell signals with instant Stop Loss and 3 Take-Profit levels.
⚙️ 核心逻辑 | Core Logic
中文:
1️⃣ 趋势引擎: 通过 Heikin Ashi + ATR 计算动态通道,捕捉真实趋势反转。
2️⃣ EMA过滤: 避免虚假信号,仅在趋势方向一致时触发。
3️⃣ 风控系统: 每次信号生成后自动计算:
入场价(Entry)
止损价(Stop Loss)
三个止盈目标(TP1 / TP2 / TP3)
4️⃣ EA警报模块: 自动生成标准格式警报,可直接对接 EA / MT4 / MT5 / API 执行。
English:
1️⃣ Trend Engine: Heikin Ashi + ATR-based channel captures true reversals.
2️⃣ EMA Filter: Filters out false signals and confirms directional consistency.
3️⃣ Risk Management: Automatically calculates Entry, Stop Loss, and three layered profit targets (TP1 / TP2 / TP3).
4️⃣ EA Alert Module: Pre-formatted alerts ready for EA / MT4 / MT5 / API execution.
📊 主要功能 | Key Features
中文:
✅ 自动趋势识别(Heikin Ashi + ATR)
✅ EMA方向过滤,去除假突破
✅ 自动绘制进场、止损、止盈价位
✅ 三重止盈结构(TP1 / TP2 / TP3)
✅ 自定义ATR倍数(止损与目标)
✅ 支持警报联动EA执行
✅ 全图可视化交易结构
English:
✅ Auto Trend Recognition (Heikin Ashi + ATR)
✅ EMA Direction Filter (Noise Reduction)
✅ Entry/Stop/Target visualization
✅ Triple Take-Profit structure (TP1 / TP2 / TP3)
✅ Customizable ATR Multipliers
✅ EA-compatible alert format
✅ Full chart visualization and real-time updates
🔔 警报输出格式 | Alert Format
中文:
多头信号(LONG):
LONG|symbol=XAUUSD|zhisun=1980.5|jinchang=1985.0|price1=1987.5|price2=1990.0|price3=1993.5
空头信号(SHORT):
SHORT|symbol=XAUUSD|zhisun=1990.5|jinchang=1985.0|price1=1982.5|price2=1979.5|price3=1976.0
English:
Long Signal:
LONG|symbol=XAUUSD|zhisun=1980.5|jinchang=1985.0|price1=1987.5|price2=1990.0|price3=1993.5
Short Signal:
SHORT|symbol=XAUUSD|zhisun=1990.5|jinchang=1985.0|price1=1982.5|price2=1979.5|price3=1976.0
These messages can be directly parsed by any EA, bot, or API-based trade executor.
💡 使用建议 | Recommended Usage
中文:
🔥 推荐品种:黄金 (XAUUSD)、原油 (USOIL)、外汇 (EURUSD/GBPUSD)、加密货币 (BTC/ETH)
⏱ 推荐周期:2分钟 / 5分钟/15分钟 / 1小时
🎯 止损策略:建议 1.5 × ATR
📊 止盈策略:分批止盈(TP1 → TP3)
💡 可搭配 Supertrend、RSI、成交量指标作为辅助过滤。
English:
🔥 Best for: Gold (XAUUSD), Oil (USOIL), Forex (EURUSD/GBPUSD), Crypto (BTC/ETH)
⏱ Suggested Timeframes: 2m/5m / 15m / 1h
🎯 Stop Loss: ~1.5× ATR (default)
📊 Take Profit: Gradual scaling out (TP1 → TP3)
💡 Combine with Supertrend, RSI, or Volume for confirmation.
🧭 系统优势 | Advantages
优势 (中文) Advantages (English)
🎯 精准趋势识别 Accurate trend reversal detection
🔍 有效过滤虚假信号 EMA directional confirmation
🧮 自动风控绘制 Auto Stop/Target plotting
⚡ EA联动警报 EA-ready Alert Message Format
💎 多市场兼容 Works with Gold, Forex, Crypto
🖥️ 清晰可视化结构 Clean & structured chart layout
👤 作者介绍 | About the Author
中文:
作者 Kyle(TG: Kylexauusd)是一名专注于黄金与外汇系统交易的策略设计师。
本系统融合了量化逻辑与实盘验证,是多年趋势捕捉经验的成果。
English:
Developed by Kyle (TG: Kylexauusd) —
A professional system trader specialized in Gold & Forex strategies.
This system represents years of experience in automated and structured trading.
⚠️ 风险提示 | Disclaimer
中文:
本脚本仅供学习与策略研究,不构成任何投资建议。
实盘交易请务必做好风险控制与仓位管理。
English:
This script is for educational and research purposes only.
It does not constitute financial advice.
Trading involves risk — please manage your capital responsibly.
✨ Kyle交易系统核心信号EA | Kyle Core Signal EA System
Trade Smarter. Trade Structured.
一张图看趋势、看风控、看方向。 OANDA:XAUUSD TVC:DXY BINANCE:ETHUSDT.P BINANCE:BTCUSDT.P
LGS - Vertical LinesThe script allows you to configure 5 vertical lines, to be displayed at the selected hour and minute.
Premarket Gapper Swing Filter (Long) – v6here’s a plug-and-play Pine Script v5 “screener” you can drop on any chart to flag pre-market gainers that also meet swing-friendly trend/liquidity filters. It works as a chart-level scanner (since Pine can’t screen the whole market by itself): add it to a watchlist; symbols that qualify will light up and you can set alerts to ping you right at the opening bell.
Event Marking [zidaniee]This is not a technical analysis indicator, but a visual tool designed to mark important global events using vertical lines on your chart.
By placing a single marker at the exact time an event occurred, you can compare how different assets reacted to that global event — before, during, and after it happened.
In the example provided, the marking corresponds to the moment when U.S. President Donald Trump announced a 100% tariff on goods from China, which was immediately reflected in market reactions worldwide.
The indicator includes full customization features for:
• Event label text
• Label size and position
• Line color, style, and width
Enjoy
SMC POI Entry System HUDEntry, RR, Exit, of supply and demand zones taught in smart money trading. 12 types of zones and setups around Flips, Order Blocks, High Probability, and Extreme Demand Zones. Includes Checklist for Entry, Exit Rules, Take Profit Targets, Stop Loss spots, and Context
Make & Track An Index — Custom Weighted (by Quinn Millegan)Fixed pinescript security call issue limiting to 40 calls
Simple Custom Watermark & Symbol Info ジAdd a clean, configurable watermark to any chart. This lightweight indicator displays a custom name or brand plus optional symbol, timeframe, and current date in any corner of the chart. Perfect for traders, streamers, analysts, and content creators who want consistent chart branding, fast timestamps, or tidy screenshots.
Key features
Custom watermark text (brand, username, or logo text)
Toggle display of Symbol, Timeframe, and Date
Choose position: Top/Bottom × Left/Center/Right
Text color, background color (with alpha) and text size (small/normal/large)
Ultra-light, overlay-only — no chart clutter or extra objects
Why use it
Professionalize screenshots and shared charts with consistent branding
Add automatic timestamps to charts for auditability or content posts
Useful for streaming, educational content, reports, or trading journals
Minimal footprint keeps the chart readable while adding essential metadata
How traders use it
Add your name/handle for attribution on social posts
Show timeframe & symbol automatically when switching charts
Use date stamp for sessions, reports, and evidence of analysis timing
Built for clarity, speed, and clean visuals. Simple to configure — drop it on any chart and customize the watermark to match your workflow.
Strategy with Reference Lines📊 Strategy with Reference Lines
Description:
This strategy uses a contrarian approach based on the analysis of the previous candle to identify entry and exit points. The strategy draws horizontal reference lines at important levels of the previous candle and generates buy/sell signals based on the candle's direction.
Key Features:
🔹 Multi-Timeframe Analysis: Configurable for 1H, 2H, 3H, 4H, 6H, 12H, and 1D
🔹 Reference Lines: High, low, close, and midpoint (50%) of the previous candle
🔹 Visual Signals: Labels with prices and actions (BUY/SELL/TP)
🔹 Optional Trading: Enable/disable automatic order execution
🔹 Complete System: Automatic entry, Take Profit, and Stop Loss
🔹 Alerts: Notifications when a new candle is detected
Strategy Logic:
When the previous candle is POSITIVE:
Signal: 🔴 SELL at the previous candle's close
Take Profit: 🎯 Midpoint (50%) of the previous candle
Stop Loss: 🔴 High of the previous candle
When the previous candle is NEGATIVE:
Signal: 🟢 BUY at the previous candle's close
Take Profit: 🎯 Midpoint (50%) of the previous candle
Stop Loss: 🟢 Low of the previous candle
Visual Elements:
Green Line: High of the previous candle (when positive)
Red Line: Low of the previous candle (when negative)
Yellow Line: Close of the previous candle (always present)
Blue Line: Midpoint (50%) of the previous candle (always present)
Labels: Prices and actions with emojis for easy identification
Settings:
Timeframe: Default 4H (configurable)
Auto Trading: Disabled by default (safety)
Alerts: Include entry prices, TP, and SL
Recommended Usage:
✅ Visual Analysis: Use with trading disabled for analysis
✅ Backtesting: Enable trading to test historically
✅ Swing Trading: Ideal for 4H or higher timeframes
✅ Risk Management: Automatic SL and TP for protection
Risk Disclaimer:
This strategy is for educational and analysis purposes only. Always test in a simulation environment before using with real capital. Trading involves significant risks and may result in losses.
AI BUY SELL BY EAGLE EYES AI BUY SELL BY EAGLE EYES
This indicator highlights key reversal points in the market.
Shows Buy signals when price may rise.
Shows Sell signals when price may fall.
Works on all timeframes.
Includes alerts for easy tracking.
📞 Contact: +91 88726 80007
🌐 More Info: bento.me
LEVELS BY EAGLE EYES 🦅 LEVELS BY EAGLE EYES
Precision Market Levels Indicator
Overview:
EAGLE EYES BY LEVELS is a precision price-action tool designed to identify and plot key market levels where price is most likely to react. It combines intraday, swing, and positional support–resistance zones with live market structure analysis, helping traders quickly spot high-probability setups without chart clutter.
⚙️ Core Features
🔹 Dynamic Key Levels
Automatically detects and plots major support and resistance zones based on historical highs/lows, pivot points, and volume activity. Adapts in real time as price action evolves.
🔹 Multi-Timeframe Alignment
Calculates levels from higher timeframes and displays them on your current chart, revealing powerful confluence zones where multiple timeframes agree.
🔹 Breakout & Reversal Detection
Highlights levels where breakouts are likely to sustain momentum or where reversals may form after strong rejection.
🔹 Color-Coded Zones
Green Zone: Bullish reaction area
Red Zone: Bearish reaction area
Yellow Zone: Sideways/neutral zone
🔹 Smart Alerts
Built-in alerts trigger when price approaches, touches, or breaks a level — perfect for automated trade notifications and quick decision-making.
🔹 Minimal Lag — No Repainting
All calculations use confirmed price action, ensuring stable and reliable signals with zero repainting.
💼 How Traders Use It
Intraday Scalpers: Time entries precisely using strong zones with tight stop-losses.
Swing Traders: Wait for price to break or bounce at high-confluence areas.
Positional Traders: Use weekly/monthly levels to plan long-term setups.
🦅 Why “EAGLE EYES” Stands Out
Like an eagle spotting its prey from afar, this indicator helps you see key levels clearly, filter out noise, and make faster, more confident trading decisions.
📞 Contact: +91 88726 80007
🌐 More Info: bento.me