TradeCrafted - Gaps in Candles Live🚀 TradeCrafted – Gaps in Candles Live
Instant Gap Detection. Real-Time Signals.
The TradeCrafted – Gaps in Candles Live indicator is a precision tool that scans your chart for true gap formations — those moments when price completely jumps above or below the previous candle, often signaling strong institutional activity or momentum shifts.
🔍 Key Features:
📈 Gap Up Alerts: Highlights when the current candle opens entirely above the previous high — a potential bullish breakout signal.
📉 Gap Down Alerts: Marks when the current candle opens entirely below the previous low — a possible bearish momentum signal.
✅ Real-Time Plotting: Gaps are detected and displayed live, with bold green and red labels for instant visibility.
🎯 Designed for all assets — stocks, indices, crypto, and forex — on any timeframe.
🧠 Why Use It?
Great for spotting momentum ignition points.
Helps identify institutional buying or selling footprints.
Ideal for gap trading strategies or opening range analysis.
Just add it to your chart and let the gaps speak for themselves — no settings, no confusion, just clarity.
Volatility
No Wick CandlesOVERVIEW
In trading, no wick candles (also called full-body candles or marubozu in Japanese candlestick terminology) are powerful momentum indicators. They show that price moved in one direction for the entire duration of the candle, with no pullback or hesitation.
No upper wick : price never went above the open (in bearish case) or close (in bullish case)
No lower wick : price never went below the open (in bullish case) or close (in bearish case)
No wicks at all : open and close are the exact high and low = a full-body candle
⚠️ Caution : One candle alone isn’t always enough for a decision — confirm with:
• Volume
• Support/resistance context
• Follow-through candle behavior
SUMMARY
No wick candles = strong conviction from buyers or sellers with zero hesitation during that time period.
They’re valuable for scalpers, breakout traders, and momentum strategies — especially on high volume or at key levels.
TradeCrafted Buy And Sell Volume📊 TradeCrafted Buy And Sell Volume — Volume Strength with Directional Clarity
The TradeCrafted Buy And Sell Volume indicator brings smart volume analysis to your chart by breaking down total volume into buying vs. selling pressure, helping you gauge which side is in control.
🔍 What It Does:
Splits each candle’s volume into Buy Volume and Sell Volume based on where the close occurs within the candle.
Highlights strong Buy or Sell signals when volume exceeds a defined threshold and one side dominates.
Includes a Volume Moving Average for trend context.
📈 Visual Insights:
Teal bars represent Buy Volume.
Red bars represent Sell Volume.
Fuchsia line shows the smoothed Volume MA to help you compare with current volume.
✅ Ideal For:
Traders wanting directional volume clarity.
Volume-based scalpers and breakout traders.
Anyone looking to understand who's driving the market: buyers or sellers.
PROInvesting.co Quant.Algo - AlphaCentauri |XLF| DEMOTimeframe:
Daily
Leverage:
Leverage is not recommended.
💼 Use in Portfolio Context
This strategy is most effective as part of a diversified portfolio. We recommend combining it with other systems that show negative or low correlation to reduce overall risk and enhance performance consistency.
🛡️ Risk Management
Effective risk management is achieved through disciplined position sizing and integration with complementary trading systems. The use of advanced risk metrics, such as Value at Risk (VaR) targeting and Expected Shortfall (ES) targeting, is encouraged to provide enhanced downside protection.
🔹Overview:
This strategy is specifically built for trading XLF, which represents the financial sector of the S&P 500. It focuses on identifying directional opportunities within banks, insurance companies, asset managers, and other major financial institutions. The daily timeframe allows for a balance between signal stability and responsiveness.
🔹Intelligent Signal (AI-Powered):
Our AI-driven system scans market structure, sector-specific volatility, and macroeconomic indicators—such as interest rates and yield curves—to generate precise entry and exit signals aligned with financial sector momentum.
🔹Important Note:
This strategy has been optimized for XLF and other financial sector ETFs. If you plan to trade sector exposure via futures, CFDs, or alternative instruments, please contact us for customized adjustments and risk parameters.
TradeCrafted live Zigzag Trend Lines🧠 TradeCrafted live Zigzag Trend Lines — Trend Shift Detection with Supertrend Logic
The TradeCrafted live Zigzag Trend Lines is a powerful visual indicator that connects key trend reversal points using bold, color-coded lines. It's designed to help you spot trend changes clearly and act with confidence.
🔹 Blue lines connect significant bearish-to-bullish reversals, helping you identify new uptrends.
🔸 White lines connect bullish-to-bearish reversals, signaling potential downtrends.
📈 Features:
Highlights Buy and Sell signals directly on the chart using real-time crossover
logic.
Automatically draws trend lines at key turning points — visually mapping out price structure.
Simple, no-setup interface with hardcoded settings for consistent and clean results.
Built for scalpers and swing traders looking for early trend confirmation.
✅ Great For:
Traders who love clean visuals and want to reduce noise.
Price action traders who value structure over indicators.
Anyone looking to visually follow trend shifts with minimal delay.
Economic Event Timer & Alerts [AlgoXcalibur]Stay ahead of market-moving news with this real-time event tracker and countdown alert system.
This essential algorithm displays critical scheduled events that may influence sudden spikes in market volatility, helping you stay aware and reduce exposure to unpredictable moves before they even happen. Featuring a captivating on-chart display with event titles, adjustable time zone, real-time countdowns, and live alert notifications — you’ll always know what’s ahead — so you can prepare, not react.
🧠 Algorithm Logic
The Economic Event Timer & Alerts system delivers critical market awareness through an array of integrated functions. At its core, a live countdown table provides real-time updates on the day’s scheduled economic events, with dynamic, color-coded countdowns that ensure fast and easy interpretation at a glance. Complementing the table, Countdown Alerts notify you 30 minutes, 10 minutes, and 1 minute prior to each event—giving you clear, timely reminders without the need to constantly monitor your chart. The adjustable time zone input supports ET, CT, MT, PT, or UTC, so the displayed time-of-event aligns with your trading session. Rigorously refined, the algorithm updates the table daily—and clearly displays No Scheduled Events Today to provide certainty and reassurance on days without scheduled events. Packaged in a minimalist, unobtrusive design, the tool remains visually clean and focused for serious traders.
Updated automatically for hassle-free peace of mind.
⚙️ Features
• Time Zone Selector: Easily toggle between time zones to match your trading session.
• Countdown Alerts: Enable real-time notifications to keep you informed and aware of events without having to monitor the chart.
• Update & Expiration Awareness Feature:
This innovative feature includes a simple visual and alert system that prompts you when it’s time to reload the indicator & recreate alerts — ensuring your alerts are always tied to the latest data update.
🔄 Update Available
On the final day of current event data, the indicator will:
• Display Update Available on the indicator’s table
• Send an alert at 4:00 PM ET reminding you to reload & recreate alerts
You can load the updated version anytime that day.
⛔ Expired
If not reloaded, the next day the indicator will:
• Display an EXPIRED banner on the indicator’s table
• Send a Data Expired alert every day at 8:30 AM ET that prompts you to recreate alerts, until you do or disable the alert.
This prevents missing event alerts unknowingly.
Why is this feature necessary?
Even though the indicator is updated when necessary (typically every 2–4 weeks) to provide upcoming event data automatically, TradingView alerts do not auto-update —they stay tied to the version of the script that was active when the alert was created.
This thoughtful refinement is designed to ensure your alerts remain synced to current events and ready for when it matters most.
🚨 Protect Your Capital
At AlgoXcalibur, we understand that the best way to be profitable is to avoid unnecessary risk.
Dedicated to empowering traders with insight that matters, we designed this tool to transform inconvenient economic calendars into effortless, essential information—displayed directly on your chart. Whether you’re managing open positions or timing new trades, knowing when impactful events are about to hit is crucial to being proactive, protecting capital, and trading with confidence. This is not a technical analysis indicator—this is a risk management tool that provides traders with a fundamental edge.
Built for traders who value risk management, market awareness, and algorithm automation.
🔐 To get access or learn more, visit the Author’s Instructions section.
Trend Reversal Trading Indicator🔍 What It Does
The TRTI indicator is a custom-built tool designed to identify potential trend reversals and plot buy/sell signals on the chart using adaptive volatility-based logic. Unlike basic trend indicators, TRTI recalculates dynamic upper and lower thresholds based on price action and volatility, allowing more precise signal generation.
⚙️ How It Works
Uses a custom trend reversal engine built on median price and ATR-based ranges
Tracks evolving high/low thresholds (TUp / TDown) to define trend direction
Generates 'Long' and 'Short' labels when a clean trend change is confirmed
No reliance on Pine Script’s built-in indicators - this logic is manually developed
Inputs like TRTI Trend and TRTI Swift allow users to control the signal sensitivity
✅ Why It’s Unique
Fully custom-coded trend logic - not a wrapper around built-in indicators
Designed to reduce false breakouts by confirming conditions before flipping trend
Lightweight and effective for intraday, swing, and positional strategies
Offers clean visual entries, especially useful for traders focusing on price action-based trading
⚠️ Note
No indicator is perfect or predictive. TRTI is meant to support decision-making, not replace your analysis. It helps identify potential high-probability reversal zones based on structure and volatility behavior.
TrendBoxThis indicator is called "TrendBox," designed to help traders analyze daily price ranges using several technical indicators. Below is a breakdown of its functionality, purpose, and key components:
Purpose
The script overlays indicators on a chart to assess whether the price is above or below key levels and moving in a trend.
VIX-based expected range (index fund targeted)
- This helps calculate the expected dealers range based on VIX implications. You can expect to see ranges be bought on and sold on. Moving outside this range creates heightened volatility and most of the time a gamma squeeze follows.
VWAP (Volume Weighted Average Price)
- This allows you to understand the mid point or average pricing of the daily session. If you're paying a premium or getting a discount on the daily session.
Daily Market Open
- Identifying the market open price is a key level on a daily session and allows you to identify some level of intraday trend.
Daily 4-period VWMA
- This is a crucial role of our indicator and showing short term time frame bias. Seeing price move over the top of our daily 4 level establishes a short term trend and can be used as a distribution guide, closing positions when we see longer time frame candles close under it. Vice versa for shorting.
It also displays a status box (optional) summarizing whether the price is above or below these levels, helping traders quickly evaluate market conditions.
long short ratioSummary
Transform your analysis with a clear view of the market's true engine: capital.
The Long/Short Ratio HUD is a visual analysis tool designed to offer an instant perspective on the battle between buyers and sellers. Unlike traditional volume indicators that only measure the quantity of assets traded, this HUD measures the actual monetary value (e.g., USD, USDT) flowing into the market, giving you a much more accurate reading of true sentiment and conviction.
This indicator is presented as a clean, non-intrusive Heads-Up Display (HUD) in a corner of your chart, allowing you to keep your workspace clear while receiving high-value information.
Key Features
Intuitive Sentiment Bar: Instantly visualize the percentage of dominance between buyers (green) and sellers (red) in the current timeframe.
True Monetary Volume: Calculations are not based on simple volume (number of shares or coins) but on quote volume (Volume x Price). Discover how much real capital is backing the bulls and bears.
Data Smoothing: It uses an Exponential Moving Average (EMA) to smooth the volume data, showing the trend in sentiment rather than the noise of a single candle.
Non-Intrusive HUD: Docks to your chosen corner, displaying essential information without cluttering your price action and analysis.
Smart Number Formatting: Large monetary volumes are automatically abbreviated (e.g., 2.1M for millions, 850K for thousands) for a quick and easy read.
Fully Customizable: Easily adjust the HUD's position and the EMA's length (sensitivity) to fit your trading style.
How It Works & How to Interpret It
The indicator analyzes each candle's structure (body and wicks) along with its monetary volume to determine the buying and selling pressure.
Sentiment Calculation:
A green candle with a large body and a high close indicates strong buying pressure.
A red candle with a large body and a low close indicates strong selling pressure.
Long wicks signify a battle; the indicator intelligently distributes the volume to reflect who won that intra-bar fight.
Practical Interpretation:
Clear Dominance (e.g., > 70% Green): Suggests strong control by buyers. Look for confirmation of a trend continuation.
Balance (~50%/50%) with High Monetary Volume: Indicates a major battle or an absorption phase. Although significant capital is being traded, there is no clear winner. This is a key signal to be alert for a potential reversal or consolidation.
Divergences: One of the most powerful signals. If the price is rising but the buying sentiment on the HUD is decreasing, it could indicate that the uptrend is losing capital momentum and is vulnerable to a correction.
Disclaimer
This indicator is provided for educational and analytical purposes only. It does not constitute financial advice or a recommendation to buy or sell any asset. All investment and trading decisions are the sole responsibility of the user. Past performance is not indicative of future results.
HB BollingerBollinger Bands are a popular technical analysis tool developed by John Bollinger in the 1980s. They help traders identify periods of high or low volatility in the price of a financial instrument (like a stock, currency, or commodity) and potential overbought or oversold conditions.
Volume FVG | Liquidity Gaps + (Z-Core Edition)Volume FVG Pro+ — Smart Fair Value Gaps with Volume & ATR Filters
🚀 This tool automatically detects and highlights Fair Value Gaps (FVG) on the chart, including zones with abnormal volume spikes and real price significance.
💡 What's inside:
📦 Regular FVGs + Volume FVGs (based on Z-Score) — shows where large players left their footprint.
🔎 ATR-based filtering — removes market noise and shows only high-value price gaps.
💥 Bullish and Bearish zone separation, with clean, intuitive visuals.
🎯 Mitigation logic — wick/close detection + depth % to react only to true tests.
📈 Auto-extended zones to current bar.
🎨 Full customization: colors, transparency, box length, label toggles, display limits.
⚡ Why Volume FVGs matter:
Volume FVGs aren’t just price gaps — they’re institutional action zones.
They tend to:
Hold price and react 15–20% more effectively than standard FVGs.
Act as reversal or impulse points.
Help filter out noise and validate setups before entry.
📌 With ATR-filtering, you skip random gaps and focus only on zones that really matter.
🛠️ Who is it for:
Smart Money, Liquidity, and Order Flow traders.
Those who want confirmation zones, not just painted boxes.
Intraday and swing traders trading reactions, volume and structure.
💬 If you like it — drop a like, add to favorites, and share how you use it 💪
Feedback and support = more 🔥 features on the way!
Volume FVG Pro+ — умный индикатор Fair Value Gaps с объёмной фильтрацией и гибкой логикой
🚀 Этот инструмент автоматически определяет и подсвечивает Fair Value Gaps (FVG) на графике, включая зоны с аномально высоким объёмом и ценовой значимостью, которые часто становятся точками силы и разворота.
💡 Что внутри:
📦 Обычные FVG и объёмные FVG (Volume FVG) на основе Z-Score — видны зоны, где действительно бил крупняк.
🔎 ATR-фильтрация — отсекает рыночный шум, оставляя только ключевые разрывы ликвидности.
💥 Разделение бычьих и медвежьих блоков с чистой и понятной визуализацией.
🎯 Митигация зон (Wick/Close + % глубины) — умная логика реакции на касание.
📈 Протягивание актуальных зон до текущей цены.
🎨 Полная кастомизация: цвета, прозрачность, длина блоков, лимиты отрисовки.
⚡ Почему Volume FVG важны:
Объёмные FVG — это не просто область между свечами. Это след, который оставили институциональные участники в момент агрессивных действий.
Статистически такие зоны:
Удерживают цену и отрабатываются на 15–20% надёжнее, чем обычные.
Часто становятся точкой начала импульса или разворота.
Помогают подтвердить зону, от которой реально можно торговать.
📌 Благодаря ATR-фильтрации, ты больше не тратишь время на "мусорные FVG", а видишь только те зоны, которые имеют значение.
🛠️ Для кого:
Трейдеров, работающих со Smart Money, Liquidity и Order Flow.
Тех, кто ищет точки подтверждения входа, а не просто зоны на графике.
Интрадей и свинг-игроков, кто торгует от реакции, объёма и структуры.
💬 Если понравилось — поддержи лайком, добавь в избранное, и расскажи, как используешь 💪
Поддержка и обратная связь = развитие новых функций 🚀
Volatility Strategy 01a quantitative volatility strategy (especially effective in trend direction on the 15min chart on the s&p-index)
the strategy is a rule-based setup, which dynamically adapts to the implied volatility structure (vx1!–vx2!)
context-dependent mean reversion strategy based on multiple timeframes in the vix index
a signal is provided under following conditions:
1. the vvix/vix spread has deviated significantly beyond one standard deviation
2. the vix is positioned above or below 3 moving averages on 3 minor timeframes
3. the trade direction is derived from the projected volatility regime, measured via vx1! and vx2! (cboe)
AlgoChadLin's BITCOIN H1 Breakout Strategy No.545Strategy Overview
AlgoChadLin's BITCOIN H1 Breakout Strategy No.545 is a sophisticated breakout trading system designed for Bitcoin on the H1 timeframe. It integrates multiple volatility and price action indicators to identify high-probability breakout opportunities, aiming to capitalize on significant market movements.
Auther: @algochadlin
Strategy Logic
Breakout Confirmation: Utilizes a combination of Average True Range (ATR) and Bollinger Bands to identify periods of low volatility followed by sharp price movements.
Long: Initiated when the price breaks above the previous hour's upper Bollinger Band, with ATR confirming increased volatility.
Short: Triggered when the price breaks below the previous hour's lower Bollinger Band, with ATR indicating heightened volatility.
Parameters
Price Entry Multiplier: Adjusts the entry price relative to the breakout level.
Exit After Bars: Specifies the number of bars to hold the position before exiting.
Profit Target (%): Defines the percentage gain at which to take profit.
Stop Loss Coefficient: Multiplier for ATR to calculate stop-loss distance.
Trailing Stop Coefficients: Defines the trailing stop parameters.
Biggest Range Period: Determines the lookback period for identifying the largest price range.
Setup
Timeframe: 1-Hour (H1)
Asset: Bitcoin, also suitable for ETH
Options Strategy V1.3📈 Options Strategy V1.3 — EMA Crossover + RSI + ATR + Opening Range
Overview:
This strategy is designed for short-term directional trades on large-cap stocks or ETFs, especially when trading options. It combines classic trend-following signals with momentum confirmation, volatility-based risk management, and session timing filters to help identify high-probability entries with predefined stop-loss and profit targets.
🔍 Strategy Components:
EMA Crossover (Fast/Slow)
Entry signals are triggered by the crossover of a short EMA above or below a long EMA — a traditional trend-following method to detect shifts in momentum.
RSI Filter
RSI confirms the signal by avoiding entries in overbought/oversold zones unless certain momentum conditions are met.
Long entry requires RSI ≥ Long Threshold
Short entry requires RSI ≤ Short Threshold
ATR-Based SL & TP
Stop-loss is set dynamically as a multiple of ATR below (long) or above (short) the entry price.
Take-profit is placed as a ratio (TP/SL) of the stop distance, ensuring consistent reward/risk structure.
Opening Range Filter (Optional)
If enabled, the strategy only triggers trades after price breaks out of the 09:30–09:45 EST range, ensuring participation in directional moves.
Session Filters
No trades from 04:00 to 09:30 and from 16:00 to 20:00 EST, avoiding low-liquidity periods.
All open trades are closed at 15:55 EST, to avoid overnight risk or expiration issues for options.
⚙️ Built-in Presets:
You can choose one of the built-in ticker-specific presets for optimal conditions:
Ticker EMAs RSI (Long/Short) ATR SL×ATR TP/SL
SPY 8/28 56 / 26 14 1.4× 4.0×
TSLA 23/27 56 / 33 13 1.4× 3.6×
AAPL 6/13 61 / 26 23 1.4× 2.1×
MSFT 25/32 54 / 26 14 1.2× 2.2×
META 25/32 53 / 26 17 1.8× 2.3×
AMZN 28/32 55 / 25 16 1.8× 2.3×
You can also choose "Custom" to fully configure all parameters to your own market and strategy preferences.
📌 Best Use Case:
This strategy is especially suited for intraday options trading, where timing and risk control are critical. It works best on liquid tickers with strong trends or clear breakout behavior.
RAHA Strategy with Dynamic TP/SL + Volatility Filter
RAHA Indicator
RAHA – Roni's Adjusted Hybrid Average is a unique average that neutralizes outliers from a price series, in order to provide a more reliable and stable picture of the market trend.
💡 What makes it unique?
Unlike a regular average (like SMA), the RAHA indicator calculates the average only based on "normal" prices – while statistically filtering out outliers.
📈 Main uses:
Identifying a smooth trend over time
Reducing problematic market noise
Basis for smart trading strategies
RAHA Strategy – Roni's Adjusted Hybrid Average
The RAHA strategy is based on a smart average (RAHA – Roni's Adjusted Hybrid Average), which channels outliers from the historical price to create a more stable trend indication. It combines:
Average crossing – short SMA (10 days) versus long RAHA (20 days).
Strict filters – such as a positive RAHA slope, a positive market trend according to a 60-day moving average, and a monthly RSI rising or above 70.
Smart entry – only when there is high volatility (a significant gap between RAHA and SMA) or a green candle below the Bollinger band.
Dynamic stop – below the low of a descending candle sequence.
Profit target – set at 3 times the stop, but a trade is not closed at the TP but only according to additional specified conditions.
Smart exit conditions – such as a downward crossing of the SMA or breaking a previous low.
Multiple trade filtering – a time difference of at least 10 candles between trades.
The strategy aims to target trades only during times of a clear trend and high volatility, while reducing sensitivity to market noise and false trades.
אינדיקטור RAHA
RAHA – Roni's Adjusted Hybrid Average הוא ממוצע ייחודי שמנטרל ערכים חריגים מתוך סדרת מחירים (Outliers), במטרה לספק תמונה אמינה ויציבה יותר של מגמת השוק.
💡 מה מייחד אותו?
בניגוד לממוצע רגיל (כמו SMA), אינדיקטור RAHA מחשב את הממוצע רק על בסיס המחירים "הנורמליים" – תוך סינון סטטיסטי של חריגים.
📈 שימושים עיקריים:
זיהוי מגמה חלקה לאורך זמן
הפחתת רעשי שוק בעייתיים
בסיס לאסטרטגיות מסחר חכמות
אסטרטגיית RAHA – Roni's Adjusted Hybrid Average
אסטרטגיית RAHA מבוססת על ממוצע חכם (RAHA – Roni's Adjusted Hybrid Average), אשר מתעל ערכים חריגים מהמחיר ההיסטורי ליצירת אינדיקציה יציבה יותר למגמה. היא משלבת בין:
חציית ממוצעים – SMA קצר (10 ימים) לעומת RAHA ארוך (20 ימים).
פילטרים מחמירים – כמו שיפוע RAHA חיובי, מגמת שוק חיובית לפי ממוצע נע של 60 יום, ו‑RSI חודשי עולה או מעל 70.
כניסה חכמה – רק כאשר יש תנודתיות גבוהה (פער משמעותי בין RAHA ל‑SMA) או נר ירוק מתחת לרצועת בולינגר.
סטופ דינמי – מתחת לנמוך של רצף נרות יורדים.
יעד רווח – מוגדר לפי פי 3 מהסטופ, אך עסקה לא נסגרת ב‑TP אלא רק לפי תנאים נוספים שנקבעו.
תנאי יציאה חכמים – כמו חצייה כלפי מטה של SMA או שבירת שפל קודם.
סינון עסקאות מרובות – הפרש זמן של 10 נרות לפחות בין עסקאות.
האסטרטגיה שואפת למקד עסקאות רק בזמנים של מגמה מובהקת ותנודתיות גבוהה, תוך הפחתת רגישות לרעש שוק ועסקאות שווא.
Rotation Strong HoldersStrong Holders Rotation
A mean reversion indicator with volatility-adjusted levels.
Concept:
The indicator is based on Mean Reversion Theory, which states that asset prices eventually return to their long-term average value. The greater the deviation from this mean value, the higher the probability of correction.
Unlike classical approaches that simply assume "the larger the deviation, the stronger the reversal," we've identified key threshold levels where reversal probability increases dramatically, generating high-confidence reversal signals.
Through extensive testing, we discovered that different stocks exhibit unique volatility profiles, making fixed threshold values ineffective. Our indicator dynamically adjusts overbought/oversold zones using:
- Beta coefficient (asset's sensitivity to market volatility)
- Multi-timeframe trend analysis (trend confirmation on higher timeframes)
- Adaptive Smoothed Moving Averages (SMMA)
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HOW TO USE
The indicator identifies three key zones:
1. Red (Upper) - Overbought zone, likely price reversal downward
2. Blue (Middle) - Shows the asset's current position relative to green and red zones, indicating overbought or oversold conditions
3. Green (Lower) - Oversold zone, potential upward bounce
Signals:
- Buy: When the blue line enters the zone where the stock price is too low to ignore (green band indicates oversold condition)
- Sell: When the blue line enters the zone where the stock price is too high to ignore (red band indicates overbought condition)
Dynamic Levels:
The overbought/oversold zone boundaries automatically adjust based on the beta coefficient (higher volatility assets have wider ranges)
Key Settings:
- `Base Index` (SPX, NDX, DJI) - Volatility comparison benchmark
- `Beta Calculation Period` - Lookback period (default: 252 days)
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The indicator's background serves as a supplementary confirmation signal, using higher timeframe moving average crosses:
- Red background: Consider avoiding or selling the stock
- Green background: Favorable buying conditions
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Limitations:
- May generate false signals for:
✓ Stocks in extreme trends (e.g., NVDA during AI chip boom)
✓ Companies at risk of bankruptcy
- Not optimized for:
✓ Index trading
✓ Healthcare sector stocks
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EMA/ATR/RSIThis indicator overlays three key technical measures—Exponential Moving Average (EMA), Average True Range (ATR), and a custom-scaled Relative Strength Index (RSI)—on your price chart, all using the same lookback period.
Features
• EMA (Exponential Moving Average): Smooths price action to highlight trend direction.
• ATR (Average True Range): Measures market volatility via an RMA-smoothed True Range.
• RSI (Modified): Scales the standard RSI by subtracting 35 and multiplying by 2, shifting the baseline for clearer momentum signals.
Inputs
• period (integer): Lookback length for EMA, ATR, and RSI calculations (default: 14).
How to Use
1. Adjust period to suit your preferred timeframe (e.g., 14 for daily charts, 7 for intraday).
2. Use the EMA line to identify trend direction and dynamic support/resistance.
3. Monitor ATR to gauge changing volatility—wider bands signal stronger moves.
4. Watch the modified RSI crossovers around zero:
• Above 0: Bullish momentum
• Below 0: Bearish momentum
Combine these three overlays to refine entries, exits, and stop-loss placement based on trend strength, volatility, and momentum all in one view.
Pro Scalping Strategy [1Min | No Repaint | High Precision]Pro Scalping Strategy
Dual-Mode Precision Scalping System | EMA Trend + RSI + ATR | Non-Repainting
🔍 Overview
This indicator is a precision-engineered scalping tool optimized for lower timeframes (1–5 min), offering stable Buy/Sell signals without repainting.
Built on a robust trend-following framework, this system gives you the choice of two operating modes:
🔒 High Accuracy: Strict filters, fewer but stronger signals
⚡ More Signals: Looser filters, more frequent entries
🧠 How It Works
The logic is based on a multi-filter engine applied on closed candles only, ensuring non-repainting, clean, and confirmed entries.
⚙️ Technical Filters Used
1. EMA Trend Stack
Defines market trend using 3 EMAs (9, 21, 50)
Buy: EMA9 > EMA21 > EMA50
Sell: EMA9 < EMA21 < EMA50
2. EMA Crossover Filter
A confirmed crossover or crossunder is required from 2 candles back
Ensures trend momentum is validated before signal appears
3. EMA Slope Filter
Only accepts signals if mid EMA (EMA21) is sloping in trend direction
4. RSI Filter
Filters out signals when RSI is too extreme
RSI < overbought for Buy / RSI > oversold for Sell
5. ATR Filter
Confirms market has enough volatility
ATR must exceed a minimum threshold
✅ Modes Comparison
Feature High Accuracy Mode More Signals Mode
Min EMA Gap 0.1 0.05
Min ATR 0.2 0.1
RSI Range 30–70 25–75
Entry Frequency Lower Higher
Signal Quality Tighter + Stronger Looser + Flexible
🔔 Features
🔁 No repaint logic
⚙️ Adjustable settings with simple mode switch
⚡ Real-time alerts via alertcondition()
✅ Visual confirmation with BUY/SELL labels
💹 Suitable for scalping crypto, forex, gold, indices, and more
📌 Author: ALIP FX
“Success Elevated, Trade Smarter.”
RFM Strategy - High QualityI trade high-probability resistance fades using a systematic 4-pillar approach that has delivered a proven 60%+ win rate with 2.5+ profit factor."
📊 Core Strategy Elements:
1. VRF Resistance Identification:
Multiple resistance level confluence (minimum 2 levels)
Dynamic resistance zones using 20-period high/low ranges
Only trade when price approaches clustered resistance
2. Volume Weakness Confirmation:
Volume ROC must be ≤ -30% (weak buying pressure)
Identifies exhaustion rallies with poor participation
Confirms institutional selling vs retail buying
3. Momentum Divergence:
SMI ≥ 60 (extreme overbought) OR 25-point momentum collapse
Multi-timeframe confirmation for higher reliability
Catches momentum exhaustion at key levels
4. Price Rejection Patterns:
Long upper wicks (2x body size) at resistance
Doji formations showing indecision
Failed breakout patterns with immediate rejection
⚡ Execution:
Entry: Only when ALL 4 conditions align simultaneously
Risk Management: 6-point stops, 12-point targets (2:1 R/R minimum)
Timeframe: 5-minute charts for precise entries
Selectivity: Quality over quantity - average 5 trades per period
🏆 Performance:
60% win rate (matches manual trading performance)
2.59 Profit Factor (highly profitable)
Systematic approach eliminates emotional decisions
"This strategy automates the discretionary resistance fade setups that institutional traders use, with strict filters ensuring only the highest-probability opportunities."
The Barking Rat Reversions - SOLUSDT (Published)🚀 The Barking Rat - Reversal Strategy
Trade crypto reversals on the 1-minute SOLUSDT chart using smart, multi-layered mechanics. This advanced script combines Fair Value Gap (FVG) detection, EMA boundaries, Support & Resistance zones, and RSI filtering to pinpoint high-quality reversal trades.
⚙️ What makes it powerful?
Data-driven reversal strategy built on almost 10 confluences — it only triggers entries when the most robust conditions align.
Clean entry & exit labels plotted directly on your chart so you can follow along easily.
Push alerts for entries and exits (just add them on TradingView — the logic is fully embedded).
Specially tuned for SOLUSDT on the 1-minute chart, tested live across 15+ months of data since early 2024.
📈 Backtested results on SOLUSDT over 15 months
✅ ~82.11% win rate
✅ Profit factor: 3.10 over 313 trades
✅ ~20+ trades per month
(See the backtest screenshot for a clear picture of performance.)
imgur.com
⚠️ A few important notes
This is an advanced script — it may have fewer trades some months and more in others. That’s intentional: it’s designed to wait patiently for the best setups.
Markets change every month, so past results aren’t guarantees. Use this tool to improve your decision-making, but always apply your own risk management.
For educational purposes only — not financial advice.
🔔 How to enable alerts
Once the script is added to your chart, simply create your TradingView alerts as usual. The script already has all alert logic built-in for clean notifications.
📨 How to get access
This is an invite-only script.
👉 Contact us directly on TradingView or email thebarkingrat@gmail.com to get access.
Close vs 50SMA % (Bars colored by 20SMA)This indicator plots the percentage difference between the Close price and the 50-period Simple Moving Average (SMA50), and colors each bar based on whether the Close is above or below the 20-period SMA (SMA20).
CE Reversal + TSI OB/OS FilterChandelier Exit Reversal + TSI OB/OS Breakout Filter
This script combines the classic Chandelier Exit (CE) strategy with a momentum-based filter using the True Strength Index (TSI). It is designed to improve signal quality by confirming reversal entries with momentum breakouts from overbought/oversold zones.
🔍 Signal Logic
Buy Signal:
Price crosses above the Chandelier Exit line (bullish breakout)
TSI crosses upward from below the oversold level
Sell Signal:
Price crosses below the Chandelier Exit line (bearish breakout)
TSI crosses downward from above the overbought level
✅ Purpose
This filter improves the reliability of reversal entries by requiring confirmation of a momentum shift. It helps eliminate false breakouts by validating CE signals with TSI breakouts.
📊 Use Case
Best used on trending pairs or instruments showing clear structure reversals. The combination of trend-level CE breakouts and momentum confirmation makes it suitable for swing entries or lower-timeframe scalping with directional bias.