This indicator, called "Earnings Date Highlighter," is designed to visualize earnings data for up to four different stocks on a single chart. It's particularly useful for traders or investors who want to track earnings events for multiple companies simultaneously, such as the top holdings of an ETF. Key features: 1. Tracks earnings data (estimates and actuals)...
PUMP Indicator Description ★ Supported Markets and Assets The PUMP indicator is a versatile tool that can be effectively applied to various markets and assets, including: ▶ Korean Stocks: KOSPI, KOSDAQ, etc. ▶ U.S. Stocks: NYSE, NASDAQ, etc. ▶ Cryptocurrencies: Major cryptocurrencies such as Bitcoin (BTC), Ethereum (ETH), etc. ▶ Futures: Major futures contracts...
The "Sector Rotation Hedging Strategy With Volatility Index" is a comprehensive trading indicator developed to optimally leverage the S&P500 volatility index. It is designed to switch between distinct ETF sectors, strategically hedging to moderate risk exposure during harsh market volatility. HOW DOES IT WORK The core of this indicator is grounded on the...
This is Part 2 of 2 from the 42MACRO Recreation Series However, there will be a bonus Indicator coming soon! The CE - 42MACRO Fixed Income and Macro Table is a next level Macroeconomic and market analysis indicator. It aims to provide a probabilistic insight into the market realized GRID Macro regimes, track a multiplex of important Assets, Indices, Bonds and...
Monitor all SPDR Index Funds in one location! The purpose of this indicator is to review which sectors are trend up vs down to better manage risk against SPY, other funds and/or individual stocks. With this indicator it may become more apparent which sectors to begin investment in that are at lows compared to others, or use it to determine which stocks may be...
The 𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 is a sophisticated market tool designed to provide valuable insights into the current market trends and the approximate current position in the Macroeconomic Regime. Furthermore the 𝓜𝓪𝓻𝓴𝓮𝓽 𝓟𝓮𝓻𝓯𝓸𝓻𝓶𝓪𝓷𝓬𝓮 𝓣𝓪𝓫𝓵𝓮 provides the Correlation Implied Trend for the Asset on the Chart. Lastly it provides information about current "RISK ON" or...
//@Devendra Akolkar - @dakolkar - This indicator will compare and show relative performance of 3 symbols. // It'll compare those 3 symbols on 3 different Timeframe (Weekly - 5 sessions , BiWeekly - 10 sessions and Monthly - 20 sessions) and display performance in %
Source: Stocks and Commodities V38 Hooray! Another new John Ehlers indicator! John claims this indicator is lag-less and uses the SPY on the Daily as an example. This indicator is a slight modification of Reflex, which I have posted here I think it's better for Stocks and ETFs than Reflex since it factors in long trends. It tends to keep you in winning trades...
Directional Momentum Flux (DMF) is a compound indicator designed to surface signals of projected change in directional momentum. The primary goal is to identify possible momentum inflection points and signal them before they happen, which is reached by applying a set of well-known high-level indicators (e.g. DEMA, RSIs, CCIs and VWAP), lower-level indicators...
Our signal is based on money flows, smoothed. It is designed to capture trend moves. It works best on the 60 minutes for ETF's and for Cryptocurrencies; For futures it works best on the 15 minute time scale. Remember that you need to request real time and exchange access if you wish to trade the futures. We also use Volatility stop indicators to provide for an...
Visual screener for Exchange Traded Funds (ETFs). A safe haven is an investment that is expected to retain its value or even increase its value in times of market turbulence. Safe havens are sought after by investors to limit their exposure to losses in the event of market downturns.
Visual screener for Exchange Traded Funds (ETFs) that divide the S&P 500 into ten index funds.