Indicator
Breadth Indicators
Traffic Light - Semaforo V3 - Araldo62🇬🇧 English Description (Primary)
Title: Session Light V3 - Araldo62: Multi-Timeframe Trend Filter & Signal Generator
Description:
🚀 Stop Chasing Noise. Start Trading High-Probability Setups.
Session Light V3 - Araldo62 is an advanced multi-timeframe indicator designed for day traders and swing traders who value quality over quantity. Unlike standard oscillators that generate constant noise, Session Light V3 filters out low-probability moves, offering you a panoramic view of the asset's health and providing only the strongest, most reliable signals.
🎯 Core Philosophy: Fewer Signals, Higher Impact This indicator is built on the principle that less is more. It waits for the perfect alignment between the hourly trend (H1) and the 15-minute momentum (M15).
Why? To avoid fake-outs and choppy markets.
Result: You get fewer signals, but when they appear, they represent high-confidence setups with superior Risk/Reward ratios.
🧠 How It Works: The 3 Market States The indicator uses a visual sidebar to tell you exactly what the market is doing before you enter a trade:
🔴 CONFLICT (Red Zone): H1 and M15 are moving in opposite directions.
Action: DO NOT TRADE. The market is confused. Signals are filtered out to protect your capital.
🟡 ELASTIC STRETCHED (Yellow Zone): The distance between SMA 20 and SMA 35 is significant (> 0.5%).
Action: HIGH ATTENTION. The "elastic" is stretched. This often precedes a powerful breakout or a sharp mean reversion.
🟢 ALIGNED (No Zone/Green): H1 and M15 are moving in harmony.
Action: EXECUTE. This is the ideal environment. Buy/Sell signals are active and highly reliable.
✨ Key Features:
Multi-Timeframe Analysis: Combines H1 trend direction with M15 entry triggers.
Smart Filtering: Automatically hides signals during "Conflict" phases.
Visual Clarity: Color-coded sidebars (Red/Yellow/None) for instant market context.
Session Awareness: Vertical lines mark major session opens (Tokyo, London, NY) to align trades with volume spikes.
Dashboard: Real-time stats on RSI, ADX, and Trend Alignment.
📈 Ideal For:
Traders tired of over-trading and false breakouts.
Those who want a clear "Go/No-Go" signal based on trend alignment.
Day trading and Swing trading on M15/H1 timeframes.
⚠️ Disclaimer: Trading involves risk. This indicator is a tool to assist in decision-making, not a guarantee of profit. Always use proper risk management and stop-loss orders. Past performance does not guarantee future results.
🇮🇹 Italian Description (Secondary)
Titolo: Session Light V3 - Araldo62: Filtro Trend Multi-Timeframe e Generatore di Segnali
Descrizione:
🚀 Smetti di inseguire il "Rumore". Inizia a tradare setup ad alta probabilità.
Session Light V3 - Araldo62 è un indicatore avanzato multi-timeframe progettato per i day trader e gli swing trader che danno priorità alla qualità rispetto alla quantità. A differenza degli oscillatori standard che generano continui falsi segnali, Session Light V3 filtra i movimenti a bassa probabilità, offrendoti una visione panoramica della salute dell'asset e fornendo solo i segnali più forti e affidabili.
🎯 Filosofia di Base: Pochi Segnali, Alto Impatto Questo indicatore si basa sul principio che meno è meglio. Attende l'allineamento perfetto tra il trend orario (H1) e il momentum a 15 minuti (M15).
Perché? Per evitare falsi breakout e mercati laterali (choppy).
Risultato: Ricevi meno segnali, ma quando appaiono, rappresentano setup ad alta fiducia con un rapporto Rischio/Rendimento superiore.
🧠 Come Funziona: I 3 Stati del Mercato L'indicatore utilizza una barra laterale visiva per dirti esattamente cosa sta facendo il mercato prima di entrare in trade:
🔴 CONFLICT (Zona Rossa): H1 e M15 si muovono in direzioni opposte.
Azione: NON OPERARE. Il mercato è confuso. I segnali vengono filtrati per proteggere il tuo capitale.
🟡 ELASTIC STRETCHED (Zona Gialla): La distanza tra la SMA 20 e la SMA 35 è significativa (> 0.5%).
Azione: ALTA ATTENZIONE. L'"elastico" è teso. Spesso questo precede un breakout potente o una forte correzione (mean reversion).
🟢 ALIGNED (Nessuna Zona / Verde): H1 e M15 si muovono in armonia.
Azione: ESEGUI. Questo è l'ambiente ideale. I segnali di Acquisto/Vendita sono attivi e altamente affidabili.
✨ Caratteristiche Principali:
Analisi Multi-Timeframe: Combina la direzione del trend H1 con i trigger di ingresso M15.
Filtro Intelligente: Nasconde automaticamente i segnali durante le fasi di "Conflict".
Chiarezza Visiva: Barre laterali codificate a colori (Rosso/Giallo/Nessuno) per un contesto di mercato immediato.
Consapevolezza delle Sessioni: Linee verticali segnano l'apertura delle sessioni principali (Tokyo, Londra, NY) per allineare i trade ai picchi di volume.
Dashboard: Statistiche in tempo reale su RSI, ADX e Allineamento del Trend.
📈 Ideale Per:
Trader stanchi dell'over-trading e dei falsi breakout.
Chi cerca un chiaro segnale "Go/No-Go" basato sull'allineamento del trend.
Day trading e Swing trading sui timeframes M15/H1.
⚠️ Disclaimer: Il trading comporta dei rischi. Questo indicatore è uno strumento per assistere nel processo decisionale, non una garanzia di profitto. Utilizza sempre una corretta gestione del rischio e ordini stop-loss. I risultati passati non garantiscono quelli futuri.
Indicator
IntraEdgeV2 for Nifty, Sensex, BankNifty, Options Trading
**IntraEdge Institutional Suite**
*NSE F&O Intraday Engine — Built for Nifty, BankNifty, FinNifty, MidCapNifty, Index Options, Stock Options, and NSE Equities*
IntraEdge is a comprehensive intraday decision support system built specifically for NSE F&O traders. It synthesises institutional order flow, opening range mechanics, sector breadth, volume profile, and macro context into a single indicator, automatically adapting its engine and visuals based on the instrument you load it on.
---
**AUTO-MODE DETECTION**
Switch charts and the indicator reconfigures itself. It reads the instrument type and ticker to automatically select the correct operating mode: Nifty Index / Futures, BankNifty, FinNifty, MidCapNifty, Index Options, Stocks, or Stock Options. Override manually if needed.
---
**TIMEFRAME ROUTING: 4-TIER ARCHITECTURE**
The indicator morphs based on timeframe. On 1m to 15m charts you get the full execution engine. On 30m to 1H you get the imbalance map and doji radar. On 2H to 4H you get gravity magnets. On Daily and above you get the macro matrix. Maths always runs globally; only the visuals change per tier.
---
**CORE EXECUTION ENGINE (Intraday 1m to 15m)**
**Opening Range (OR)**
Plots OR high and low from the 9:15 to 9:30 auction. Tracks first break direction, retest, trap, and quality score. The OR close RMI is latched at exactly the 9:30 bar for session-level conviction bias. OR boxes auto-hide on historical days.
**Confluence Zone: P1**
Scans 9 institutional levels at OR set time (VWAP, VAH/VAL, PDH/PDL, PrevVWAP, weekly bands, FVG, nPOC) and scores the proximity of OR high and low to each. Colocation tags (⚓) flag where OR levels stack with Value Area or PrevVWAP, the highest-probability institutional clusters.
**OR Level Scoring: P2**
Every confirmed touch of the OR high or low is scored across volume, body close, ATR relative size, VWAP position, and RMI momentum. Scores appear as labels on the chart. High-conviction touches (score 7 or above) trigger a dedicated alert.
**Activity Filter: P3**
Detects chop regimes using range compression, VWAP adherence, and volume conditions. When active, the tape locks to WAIT and an alert fires so you know to stop trading the current setup.
**Pre-OR Sweep: P5**
Detects PDH, PDL, or PrevVWAP sweeps in the 9:15 to 9:29 window before the OR sets. Biases the OR break direction against the swept level and displays the result in the HUD.
**Opening Candle Character: P6**
Classifies the first candle's body-to-range ratio and close position to identify institutional intent at the open.
---
**VWAP ENGINE**
Custom expanding-variance VWAP with +/-1 sigma and +/-2 sigma bands. Previous day VWAP computed from scratch and latched at session end. VWAP velocity and acceleration detection. Reclaim, reject, and retest signals with alert. VWAP zone classification displayed in HUD: Value Area / Trending / Exhausted.
**Session Volume Profile (SVP)**
Native integration via the SessionVolumeProfile library. Displays today's POC, VAH, and VAL in real time. Prior session POC (nPOC) used as a gravity magnet throughout the day. SVP warmup warning displayed on first session load.
---
**INSTITUTIONAL ORDER FLOW**
**Synthetic CVD (Cumulative Volume Delta)**
Reconstructs buyer vs seller pressure from candle structure without tick data. Divergence detection: price pivot high with CVD falling signals distribution (delta label above bar). Price pivot low with CVD rising signals accumulation (delta label below bar).
**RMI Oscillator**
14-period Relative Momentum Index, momentum length 3. Used internally across five systems: OR break score, gap trap override, tape confirmation, exhaustion colouring, and the divergence engine.
**RMI Regular Divergence**
Regular Bearish Divergence: price makes a higher high while RMI makes a lower high from an overbought zone. Distribution exhaustion signal, marked with a down arrow (▼D) above the bar.
Regular Bullish Divergence: price makes a lower low while RMI makes a higher low from an oversold zone. Accumulation exhaustion signal, marked with an up arrow (▲D) below the bar.
Fires on the confirmed bar where the RMI slope flips direction. Edge trigger only, no re-firing.
**SMT / RS-RW Divergence**
Structural divergence detection between Nifty and BankNifty across PDH, PDL, and VWAP levels. Includes magnitude Z-Score engine to grade divergence strength. Macro SMT (multi-day structural) tracked separately from intraday SMT. Correlation breakdown threshold configurable.
**Sequenced Trap: Fuel and Spark**
Detects the two-step institutional trap: sweep of a key level (Fuel) followed by a break failure (Spark). Requires both events within a configurable window to confirm. Separate alerts for trap detected and OR break trap.
---
**SECTOR BREADTH ENGINE: P10**
Monitors 10 NSE sector indices (Nifty Bank, IT, Auto, FMCG, Pharma, Metal, Energy, Realty, Infra, Media) against their individual VWAPs in real time. Breadth score, velocity state (Strong In / Neutral / Strong Out), and divergence from price displayed in the HUD Flow and Breadth rows. Three alerts: breadth divergence, velocity spike, HTF breadth confirmation.
**Basis / Carry Engine: P12**
Tracks Nifty futures basis (spot vs futures spread) as a proxy for institutional positioning bias. Carry direction and tight session flags displayed in the Breadth HUD row.
---
**EXPIRY STATE MACHINE: F4**
Four-phase expiry model: Normal, Pin Risk, Gamma, Final Hour. Automatically activates on expiry day (weekly or monthly, configurable). Displays expiry phase in the HUD header and fires transition alerts when the phase changes. Max-pain structural estimate alert when the level is established.
---
**LIQUIDITY ENGINE**
5-minute sweep detection on session high and low. 15-minute and 30-minute HTF sweep detection with separate pools for top and bottom sweeps. Higher Low and Lower High structure formation alerts. HTF sweep status displayed in HUD Tape row.
---
**FVG ENGINE: 1H Imbalance Map**
Detects Fair Value Gaps on the 1H timeframe and maps them as zones on lower timeframe charts. Active FVG direction (Bull / Bear / None) displayed in HUD Inst row. FVG proximity included in P1 confluence scoring.
**Doji Radar**
Advanced doji detection across configurable body/range thresholds. Active on hourly prep and execution tiers.
**M/W Pattern Detection (Double Top / Double Bottom)**
Two-bar swing structure engine tracking higher highs, higher lows, lower highs, lower lows. Double bottom (W) and double top (M) confirmations with labels and dedicated alerts. Recent M/W confirmation shown in HUD Tape row.
---
**MACRO CONTEXT**
**VIX Expected Move Bands**
Daily VIX ceiling and floor computed from India VIX. Weekly VIX bands for expiry boundary reference. ADR (Average Daily Range) used-percentage displayed in HUD and alerted at 90% exhaustion.
**Gap Classification**
Eight gap types: Gap-and-Go, Gap Fill, Flat Open, Gap Trap Bull/Bear, Gap Magnet, Gap Reversal. Gap strategy and percentage displayed in HUD Gap Strat row. Gap trap detection feeds directly into the tape exclusion rules.
**Daily EMA 21 and Weekly VWAP**
Macro bias reference. EMA 21 slope and position displayed in HUD macro context. Weekly VWAP displayed on applicable timeframes.
**Time-of-Day RVOL**
25-epoch intraday volume matrix using 5-bar windows across the session. Compares current bar volume to the historical average for that exact time of day. Anomaly detection with configurable threshold.
---
**HUD: 8-ROW CONSOLIDATED STATUS TABLE**
Live top-right table updating on every confirmed bar:
- **Gap Strat:** gap type, classification, gap percentage
- **Vol/ADR:** VIX regime, ADR used percentage
- **OR State:** break/retest/trap status, P1 confluence tags, colocation anchors
- **VWAP/Vol:** VWAP distance, zone classification, ToD RVOL
- **Inst/SMT:** SMT status, active FVG direction, RMI value with streak counter
- **Breadth:** sector breadth score, basis/carry, tight session flag
- **Flow:** breadth velocity, breadth divergence state
- **Tape/Align:** tape signal, exclusion reason, HTF breadth, recent M/W confirmation
On HTF charts (Daily and above), the HUD switches to a 6-row macro matrix showing macro bias, weekly VWAP, VIX range, ADR, 1H FVG, and nPOC. Auto-hides on Options and Stock charts to keep the chart clean.
---
**ALERTS: 23 CONDITIONS**
Trap Detected · OR Breakout · OR Retest · VWAP Interaction · Liquidity Sweep · Higher Low at Level · Lower High at Level · W-Pattern · M-Pattern · Breadth Divergence · Breadth Velocity Spike · OR Level High-Conviction Touch · Pre-OR Sweep · Activity Filter Activated · ADR Exhausted · VIX Band Touch · SMT / RS-RW Signal · Delta Divergence · Sequenced Trap · Expiry Phase Transition · Max-Pain Strike Set · RMI Regular Bear Divergence · RMI Regular Bull Divergence
All alerts are edge-triggered on confirmed bars. No intrabar spam.
---
**RECOMMENDED USAGE**
Best used on 3m or 5m charts for Nifty and BankNifty F&O intraday trading. Works on 1m for scalping and 15m for session-level context. Apply to the spot index (NIFTY, BANKNIFTY) or the front-month futures contract; auto-detection handles both. For options CE/PE premium charts, switch to a 1m or 3m options contract, and the engine decouples gap and VWAP calculations to the underlying automatically.
*Author: Murali Kumar ( x.com/@geekz) *
Indicator
EMA DMI MACD RSI StrategyThis strategy is a trend-following momentum strategy designed for stocks with strong movement, especially for:
Options trading
Momentum stocks
AI/semiconductor stocks
Intraday and swing trading
It combines multiple indicators together so signals are stronger and lower-quality trades are filtered out.
Strategy
BFC Session ReclaimBFC Session Reclaim is a 1 Hour timeframe indicator designed to highlight key session wick levels from the 5 PM and 8 AM candles. The script automatically marks the high and low wick levels of these candles to help traders identify important liquidity zones and momentum continuation setups.
The main concept behind the indicator is simple: price will often open, pull back into liquidity, then reclaim or break back above the high wick of these key session candles before continuing bullish. The same idea can be used in reverse for bearish setups using the low wick levels.
Built for momentum and liquidity-based traders, BFC Session Reclaim keeps charts clean by using small anchored markers instead of long lines across the screen. The script also includes settings to show or hide previous session levels for cleaner chart analysis.
Indicator
BFC Trend DashboardBFC is a clean multi timeframe trend dashboard built for momentum traders. It quickly shows whether the Daily, 4 Hour, 1 Hour, and 5 Minute trends are bullish or bearish based on price position relative to the 9 EMA.
Designed to stay small and out of the way, BFC helps traders align with higher timeframe momentum without cluttering the chart. Perfect for scalpers, day traders, and momentum traders who want fast trend confirmation across key timeframes.
Indicator
BFC Trend DashboardBFC is a clean multi timeframe trend dashboard built for momentum traders. It quickly shows whether the Daily, 4 Hour, 1 Hour, and 5 Minute trends are bullish or bearish based on price position relative to the 9 EMA.
Designed to stay small and out of the way, BFC helps traders align with higher timeframe momentum without cluttering the chart. Perfect for scalpers, day traders, and momentum traders who want fast trend confirmation across key timeframes.
Indicator
Setup Grade by EpyCet indicateur est un outil de validation de setup basé sur la méthodologie ICT / DodgysDD, conçu pour t'aider à ne trader que les configurations qui cochent un maximum de cases avant d'entrer en position.
Fonctionnement hybride : 3 critères sont détectés automatiquement par le script, 2 restent manuels pour conserver ton jugement sur les éléments contextuels.
Critères auto-détectés :
Liquidity Sweep — détection d'un balayage de liquidité sur les niveaux Asia High/Low et London High/Low (wick ou clôture + retour)
iFVG — identification automatique d'un Inverse Fair Value Gap sur les timeframes 5m, 15m, 1h et 4h
Volume — confirmation d'un volume supérieur à la moyenne (MA configurable)
Critères manuels (toggle on/off) :
HTF PDA Delivery — livraison depuis une zone Premium/Discount sur HTF
SMT w/ ES — divergence de structure avec l'instrument corrélé
Setup Grade : le score global est affiché sous forme de note (A+ → D) en fonction du nombre de critères validés.
Compatible avec les TF 1m, 2m, 3m et 5m. Pensé pour les sessions Asia, London et New York.
Not financial advice. Outil personnel basé sur le framework ICT/DodgysDD.
Indicator
Quartey theory (Modified)helps with trading and shi will make you rich ahh fu downlod this now and you will be billionair
Indicator
Indicator
Crisis indicatorWhat This Indicator Does
This indicator acts as an early warning system for potential market crises by tracking 5 of the most reliable financial danger signals that have predicted major market declines throughout history.
The 5 Crisis Signals Monitored
1. Yield Curve Inversion
- What it measures: When short-term interest rates become higher than long-term rates
- Why it matters: This has predicted every US recession since 1955
- Trigger: Yield curve drops below your set threshold (default: 0.0)
2. Shiller CAPE Ratio
- What it measures: Stock market valuation adjusted for economic cycles
- Why it matters: Only exceeded 30 during major bubbles (1929, 2000, 2021) - all followed by crashes
- Trigger: CAPE ratio rises above your threshold (default: 30.0)
3. Buffett Indicator
- What it measures: Total stock market value compared to GDP
- Why it matters: Warren Buffett's favorite market valuation gauge
- Trigger: Ratio exceeds your threshold (default: 180%)
4. VIX Complacency
- What it measures: Market fear gauge (Volatility Index)
- Why it matters: Extremely low VIX indicates investor complacency before storms
- Trigger: VIX falls below your threshold (default: 15.0)
5. SPX Extreme Deviation
- What it measures: How far S&P 500 is above its 200-week moving average
- Why it matters: Major tops in 1929, 2000, 2021 all showed extreme deviations
- Trigger: Deviation exceeds your threshold (default: 2.8 standard deviations)
How to Read the Results
The Yellow Line (0-5 Scale)
- Shows how many of the 5 danger signals are currently active
- 0-1: Normal market conditions
- 2: High Risk - Caution advised
- 3+: Crisis Cluster - High probability of market decline
The Information Table
- Shows exactly which signals are triggering
- Displays current values for each indicator
- Color-coded status (Green = Safe, Red = Danger)
Historical Performance
When 3+ indicators flash simultaneously:
- 1999-2000: Preceded Dot-com crash (-49% SPX)
- 2007: Preceded Financial Crisis (-57% SPX)
- 2021: Preceded 2022 bear market (-25% SPX)
Indicator
Trend / Range / Down Days Counter v6
Trend Duration Tracker v6
A trend-state indicator that automatically detects whether the market is currently in an:
UPTREND
DOWNTREND
RANGE
and displays how long the current condition has been active directly on the chart.
Features
• Automatic Market State Detection
The indicator continuously analyzes price action and trend direction using:
EMA slope
Price position relative to EMA
ATR-based noise filtering
to classify the market environment in real time.
• Trend Duration Display
Shows how long the current trend or range has lasted.
Example:
UPTREND
Duration: 12 Days
This helps traders understand whether a move is still developing or potentially becoming exhausted.
• Visual Background Coloring
The chart background changes automatically depending on market condition:
Green → Uptrend
Red → Downtrend
Aqua → Range
Making trend recognition instant and intuitive.
• Trend Change Markers
The indicator highlights transitions between market phases with labels such as:
UP START
DOWN START
RANGE
allowing traders to quickly identify possible regime shifts.
What It’s Useful For
✔ Trend Analysis
Track how long trends remain active and identify extended market conditions.
✔ Market Environment Recognition
Quickly determine whether the market is trending or ranging before entering trades.
✔ Multi-Market Compatibility
Works well across:
Cryptocurrency
Forex
Stocks
Indices
Commodities
and multiple timeframes.
Core Logic
The indicator combines:
EMA direction
EMA slope analysis
ATR volatility filtering
Price location relative to trend
to create a cleaner and more reliable trend-state model.
Best For
Trend-following traders
Swing traders
Crypto traders
Traders who want cleaner market structure analysis
In One Sentence
👉 “A visual market-state tracker that shows what trend the market is in — and how long it has lasted.”
Trend Duration Tracker v6
現在の相場が
上昇トレンド・下降トレンド・レンジ のどの状態にあるのかを自動判定し、
その継続期間を「日数」で表示するトレンド分析インジケーターです。
■ 特徴
● トレンド状態を自動判定
UPTREND
DOWNTREND
RANGE
をリアルタイムで表示。
EMAの傾きと価格位置を組み合わせ、
相場の方向性をシンプルかつ視覚的に把握できます。
● 継続日数を表示
現在の状態が
何日続いているか
どれくらい継続しているか
をチャート上へ表示。
例:
UPTREND
Duration: 12 Days
● 背景色で視認性アップ
緑 → 上昇トレンド
赤 → 下降トレンド
水色 → レンジ
チャートを開いた瞬間に相場環境を判断できます。
● トレンド転換ポイントも表示
状態が変わったタイミングで
UP START
DOWN START
RANGE
を自動表示。
■ 何に使えるか
✔ トレンドの継続分析
「今の上昇は伸びすぎか?」
「レンジが長すぎないか?」
を日数ベースで確認できます。
✔ 環境認識
エントリー前に
トレンド相場なのか
レンジ相場なのか
を一目で判断可能。
✔ 仮想通貨・FX・株に対応
BTC
ETH
アルトコイン
FX
株価指数
など、あらゆる市場で利用可能。
■ 判定ロジック
EMAの方向
EMAの傾き
現在価格との位置関係
ATRベースのノイズ除去
を組み合わせて相場状態を分類。
■ 向いている人
トレンドフォローをする人
レンジ回避したい人
環境認識を重視する人
仮想通貨トレーダー
■ 一言でいうと
👉 「今の相場が“どの状態で、どれだけ続いているか”を見える化するインジケーター」
Indicator
Calculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copyCalculador de Lotajes - copy
Indicator
ORB Breakout - 30min (MNQ/GC)**ORB Breakout — 30min (MNQ/GC)**
Identifies high-probability breakout setups during the first 2 hours of the regular NYSE session, optimized for futures traders (MNQ, GC).
**Triggers when ALL 4 conditions are met simultaneously:**
- ✅ Price closes above the 30-minute Opening Range High (9:30–10:00 AM EST)
- ✅ Current bar volume is ≥ 1.5× the average volume of the opening range bars
- ✅ Price is above VWAP
- ✅ Time is before 11:30 AM EST (within the first 2 hours of session)
**Visuals:**
- Dashed orange horizontal line marking the ORB High
- Green triangle marker on the breakout bar
- Light green background highlight while all conditions are active
- VWAP plotted for reference
- Live debug table (top-right) showing the status of each condition in real time
**Alerts:**
- Built-in alert condition fires once on the first bar where all conditions are met — set to *Once Per Bar Close* for confirmation entries.
**Settings are fully adjustable:** ORB window times, session end time, volume multiplier, and all visual colors can be customized via the indicator settings panel.
Indicator
Orange FlagHow it works
The indicator pulls daily data from four market internals and assigns points based on whether each one is at an extreme reading:
YRHI-YRLO spread (52-week new highs minus new lows on NASDAQ): +3 points if ≥ 75
MMTW (Russell 2000 stocks above 50-day MA): +2 points if ≥ 55
S5FI (S&P 500 stocks above 50-day MA): +2 points if ≥ 65
VIX: +1 point if < 15
Maximum score is 8 points. When the total reaches 5 or higher, the chart background paints orange to flag a risk-on extreme.
How to use it
The orange flag identifies conditions historically associated with frothy market tops — broad participation, lots of new highs, and complacent volatility all aligned. It is a context filter, not a trade signal. When the flag is on, consider tightening risk controls, fading new long entries on extension, or being more selective about chasing strength.
The flag should be relatively rare. If it fires often, the thresholds are too loose for current market structure.
Display
A status table in the top-right corner shows each component's current value, threshold, and points contributed, plus the total risk score and flag state.
Settings
All thresholds, the flag trigger level, and the underlying ticker symbols are configurable. Defaults use TVC, USI, and INDEX prefixes that resolve cleanly on PulseWire.
Alerts
Two alert conditions are available: orange flag triggered (score crosses up through threshold) and orange flag cleared (score drops back below threshold).
Notes
Data is pulled at the daily timeframe regardless of chart timeframe, with lookahead_off to prevent intrabar repaint. The score updates only when the daily close prints. Built in Pine Script v6.
Indicator
Chart Club - Laser Storm Deluxe# Chart Club — Laser Storm Deluxe
Turn your chart into a full-blown nightclub.
**Chart Club — Laser Storm Deluxe** is a visual overlay indicator built for traders who want their chart to feel less like a spreadsheet and more like a Saturday night laser rave. It adds a black club-style background, aggressive laser storms, fan cannons, horizontal laser grids, smoke machines, foam effects, a DJ booth, video screens, dancers, a disco ball, bassline glow, and bass drop markers.
This is not a traditional trading system. It is a chart atmosphere indicator designed for fun, visual flair, livestreams, screenshots, and pure chaotic energy.
## Features
* Black club background by default
* Dense crisscrossing laser storm
* Laser fan cannons
* Horizontal laser grid
* DJ booth featuring **DJ Bearly Invested**
* Smoke machines
* Foam cannon
* LED dancefloor
* Video screens
* Equalizer towers
* Disco ball and prism rays
* Bassline EMA tunnel
* Bass drop and mega drop visual markers
* Optional strobe background
* Optional neon candle coloring
## How it works
The indicator uses Pine Script visual objects such as lines, labels, boxes, tables, fills, and bar coloring to create a nightclub-style overlay on your chart. The laser effects update dynamically as new bars print, giving the chart a chaotic animated feel.
The “bass drop” markers are based on larger-than-normal price movement relative to ATR. These are mainly used to trigger visual effects and are not intended as buy or sell signals.
## Recommended Settings
For the wildest look:
* Laser Storm Beam Count: 200–300
* Laser Fan Beam Count: 80–120
* Horizontal Laser Grid Lines: 40–80
* Laser Opacity: 0–12
* Laser Width: 1 or 2
* Black Club Background: On
* Background Strobe: Off or On, depending on how intense you want the chart to feel
For better performance on slower devices, reduce the Laser Storm Beam Count first.
## Disclaimer
This indicator is for entertainment, aesthetics, chart customization, and visual hype. It is not financial advice, not a trading strategy, and not intended to generate buy or sell signals. Trade responsibly.
Welcome to the club. 🪩
Indicator
Indicator
Financial Repression OscillatorThe Financial Repression Oscillator is a macro-regime indicator designed to help visualize whether current conditions are more consistent with a restrictive real-rate environment or a financial-repression-like environment.
It combines several public FRED macroeconomic series into a single bounded oscillator from 0 to 100. The goal is not to generate trade signals, but to provide a compact way to monitor real rates, inflation pressure, debt burden, and Federal Reserve balance-sheet conditions together.
Why this can be useful
Macro conditions can change the meaning of “safe” assets.
When real rates are positive, cash-like instruments and short-duration fixed income may offer meaningful real returns. When real rates are negative or falling while inflation and debt pressure remain elevated, cash and nominal fixed-income assets may lose purchasing power in real terms.
This indicator is intended to make those regime conditions easier to monitor in one place.
General interpretation
0-25 Restrictive / not repressive
25-40 Mildly restrictive
40-60 Neutral / mixed
60-75 Repression-like
75-100 Strongly repression-like
These zones are intended as a framework for macro context, not as automatic buy or sell signals.
What the indicator tracks
The oscillator uses six components:
1. 10-Year Real Yield
Series: FRED:DFII10
This is the 10-year Treasury Inflation-Protected Securities real yield. It is used as a market-based measure of long-term real interest rates.
Higher positive real yields generally suggest a more restrictive real-rate environment. Lower or negative real yields are more consistent with financial-repression-like conditions.
2. 3-Month Real Rate
Series: FRED:DTB3 minus CPI YoY
This compares the 3-month Treasury bill yield to year-over-year CPI inflation.
It helps show whether short-term cash-like instruments are providing a positive or negative real return relative to inflation.
3. Real Fed Funds Rate
Series: FRED:FEDFUNDS minus CPI YoY
This compares the effective federal funds rate to year-over-year CPI inflation.
It provides a simple estimate of whether short-term monetary policy is restrictive or accommodative after inflation.
4. CPI Inflation
Series: FRED:CPIAUCSL
Inflation is included because financial repression is usually most relevant when inflation is elevated relative to interest rates.
The script calculates CPI year-over-year inside the monthly data request so that the calculation remains consistent when the indicator is viewed on daily, weekly, or monthly charts.
5. Federal Debt to GDP
Series: FRED:GFDEGDQ188S
Debt to GDP is included as a structural pressure variable.
High debt levels do not prove that financial repression is occurring, but they may increase the policy incentive to maintain lower real borrowing costs over time.
6. Federal Reserve Total Assets
Series: FRED:WALCL
Federal Reserve total assets are used as a broad proxy for the size of the central bank’s balance sheet.
A larger balance sheet may indicate a greater central-bank footprint in financial markets, though it should not be interpreted by itself as proof of financial repression.
How the scoring works
The indicator uses a hybrid scoring model.
Each component is scored using two methods:
Absolute threshold scoring
Absolute thresholds are used so that the oscillator does not label an environment as strongly repressive simply because a value is low relative to recent history.
For example, a positive real rate should not automatically score as maximum financial repression just because it has declined from a recent high.
Percentile pressure scoring
A smaller percentile component compares each series to its own recent history over a 120-month window.
This helps the oscillator respond when conditions are deteriorating or improving relative to the recent macro regime.
Weighted blend
The real-rate components receive the largest weights because suppressed real yields are central to the concept of financial repression.
The debt and Federal Reserve asset components are included as structural context, but they are not intended to dominate the reading by themselves.
How to use it
This indicator is best used as a macro context tool on weekly or monthly charts.
Possible uses include:
Monitoring whether real-rate conditions are becoming more or less restrictive
Comparing current macro conditions to prior regimes
Adding context to cash, bond, equity, commodity, gold, or Bitcoin allocation decisions
Watching for transitions between cash-friendly and negative-real-rate environments
Supplementing other macro tools such as yield curves, credit spreads, liquidity indicators, valuation metrics, and market breadth
Important limitations
This indicator is not a trading system.
It does not issue buy or sell signals, and it does not attempt to predict short-term market direction. The underlying data comes from FRED and updates at different frequencies. Some components update daily, while others update monthly or quarterly, and macroeconomic data may be revised.
The oscillator should be interpreted as a broad macro-regime estimate, not as a precise timing model.
A high debt score or a large Federal Reserve balance sheet score does not, by itself, mean financial repression is occurring. The most important readings come from the combination of real yields, inflation, short real rates, and structural debt pressure.
Practical reading
When the oscillator is low, real-rate conditions are generally more restrictive and cash-like assets may be more competitive in real terms.
When the oscillator rises, conditions may be shifting toward a more inflationary or repression-like environment, especially if real yields are falling while inflation and debt pressure remain elevated.
The most meaningful signals are usually changes in regime over time rather than any single daily reading.
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Lomo Timeframes & Delta VolumePodrás visualizar el sesgo del activo en diferentes temporalidades y el delta volume en tiempo real. Muy funcional y visual para saber dirección del activo.
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IS Ghostbusters - Visual Session Levels & Auto-Hedge LogicGhostbusters is a visual execution tool designed for traders who operate based on fixed intraday levels and seek disciplined risk management. The script does more than just project entry, stop loss, and take profit levels; it acts as a real-time session monitor, validating executions and automatically managing hedge operations.
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Key Features:
Precision "Touch" Detection: Unlike standard indicators that wait for a candle to close, Ghostbusters uses intrabar prices (High/Low) to detect the exact moment price touches a level, ensuring surgical precision for entries and exits.
"One-Shot" Logic: To prevent overtrading, the script validates only the first outcome of the day. Once a TP or SL is hit, the indicator locks until the next configured session.
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Automatic Hedge System: If the initial trade hits the Stop Loss, the script automatically activates a violet-colored hedge radar. It calculates a new entry at the failure point, sets the Stop Loss at the original entry price, and calculates a reduced Take Profit (50% of the original range) to seek a quick technical recovery.
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Adaptable Professional UI:
Smart Contrast: Labels automatically change color based on your chart background (light or dark) to ensure total readability.
Level Table: Includes a dynamic table in the bottom corner that organizes SELL, BUY, and Hedge values.
Synchronized Infinite Lines: Uses line objects that span the entire chart, maintaining perfect synchronization with the price scale when zooming or scrolling.
How to Use It:
Configure Levels: Manually enter your Entry, SL, and TP levels for both BUY and SELL scenarios.
Session Control: Define your session start time. The script will ignore any prior movement and place a yellow "START" circle on the starting candle.
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Execution: Monitor the visual signals:
▲/▼ OPEN: Confirmed Entry.
✔️ TP: Target Reached.
X SL: Stop Loss Hit.
🟣 OPEN HEDGE: Hedge activation after an initial SL.
Technical Notes:
Written in Pine Script v6.
Optimized to keep the chart clean by avoiding unnecessary data points, maintaining a professional aesthetic.
Disclaimer: This script is a visualization and manual trading aid. It does not constitute financial advice or guarantee profits. Use at your own risk.
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Indicator
Fibonacci Retracement Low
Fibonacci Retracement Low for bitcoin and other coins.
# Fibonacci Retracement Low — Bitcoin & Altcoins
## 📐 What is Fibonacci Retracement?
Fibonacci Retracement is a technical analysis tool derived from the **Fibonacci sequence**, a mathematical series discovered by Leonardo Fibonacci in the 13th century. The sequence — 0, 1, 1, 2, 3, 5, 8, 13, 21... — produces a ratio (~1.618) known as the **Golden Ratio (φ)**, which appears repeatedly in nature, art, and financial markets.
In trading, key retracement levels are calculated as:
- **23.6%** — shallow pullback zone
- **38.2%** — moderate support/resistance
- **50.0%** — psychological midpoint (not a Fibonacci number, but widely respected)
- **61.8%** — the "Golden Pocket," most critical level
- **78.6%** — deep retracement, often a last line of defense before trend invalidation
---
## 🔍 Theoretical Background
### Why Does It Work in Markets?
Markets are driven by **human psychology**, and crowd behavior tends to cluster around mathematically significant levels. Traders worldwide watch the same Fibonacci levels, creating **self-fulfilling prophecies** — the more traders act on a level, the more significant that level becomes.
### Retracement vs. Reversal
A retracement is a **temporary price pullback** within a larger trend. The core thesis of Fibonacci Retracement analysis is:
> *"A strong trending asset will not give back all its gains — it will retrace to a predictable mathematical level and resume its primary trend."*
The chart identifies the **Retracement Low**, meaning the deepest point of a corrective wave before the next major upward impulse.
---
## ₿ Bitcoin & Altcoin Context
### Bitcoin as the Anchor
Bitcoin dominates the crypto market, and its Fibonacci structure sets the **macro framework** for the entire cycle. Historically:
| Cycle | Retracement Level | Outcome |
|---|---|---|
| 2018–2019 Bear | ~84% drawdown | Bounced at 0.786 |
| 2020 COVID Crash | ~50% level | V-shape recovery |
| 2021–2022 Bear | ~77% drawdown | Major accumulation zone |
### Altcoin Behavior
Altcoins tend to **amplify** Bitcoin's Fibonacci structure:
- They retrace **deeper** (often 85–95%)
- But they also **bounce harder** from key levels
- The 61.8% and 78.6% zones act as **high-probability accumulation targets** for risk-on capital rotation
---
## 📊 Practical Application
When the chart marks the **Fibonacci Retracement Low**, it signals:
1. **Price has reached a historically significant mathematical support**
2. **Risk/reward is favorable** — downside is limited relative to potential upside
3. **Confluence with other indicators** (volume, RSI divergence, on-chain data) strengthens the signal
4. **Macro cycle positioning** — these lows often coincide with the final capitulation phase before a new bull run
---
## ⚠️ Key Caveats
- Fibonacci levels are **not guarantees** — they are probability zones
- In extreme bear markets, price can **overshoot** below the 78.6% level temporarily
- Always combine with **volume analysis**, **market structure**, and **macro conditions**
- Bitcoin halving cycles historically influence which Fibonacci level acts as the ultimate bottom
---
The identification of a Fibonacci Retracement Low, particularly across both Bitcoin and altcoins simultaneously, is often interpreted as a **generational buying opportunity** — a zone where patient, thesis-driven investors accumulate positions before the next major market expansion phase.
Indicator
ADDQ Breadth Oscillator [Signal Vision]
ADDQ Breadth Oscillator
📊 ADDQ Breadth Oscillator (Advanced Market Internal)
The ADDQ Breadth Oscillator is a momentum-based tool designed to visualize the internal health of the NASDAQ by tracking Net Advancing Issues (ADDQ).
Unlike standard price indicators, this oscillator looks "under the hood" of the market to see if price movement is supported by broad participation or if it’s being driven by just a few heavyweights.
🔍 How it Works
This indicator pulls the NASDAQ Advance-Decline Line (ADDQ) and processes it through a dual-EMA system to create a smoothed oscillator and a signal line. It measures the spread between the current breadth and its moving average, resulting in a responsive histogram that highlights shifts in market momentum.
🛡️ Smart Data Selection (Fail-safe)
One of the unique features of this script is its triple-source logic. Different PulseWire data plans and brokers handle Breadth symbols differently. This script automatically checks:
NASDAQ:ADDQ
ADDQ (Generic)
ADVQ - DECLQ (Calculated manually from Advancing vs. Declining issues)
It will automatically use the best available source based on your data subscription, ensuring the indicator never returns a "blank" screen. A Debug Table in the top right confirms which source is currently active.
📈 Key Features
Momentum Histogram: A scaled histogram that shows the acceleration or deceleration of market breadth.
Trend Ribbon: The area between the ADDQ line and the Signal line changes color (Teal/Red) to indicate the short-term internal trend.
Extreme Levels: Horizontal dashed lines at +/- 1500 (customizable) highlight overbought or oversold breadth conditions.
Crossover Signals: Visual shapes appear on the chart when the breadth line crosses its signal line, marking potential entry or exit points.
🛠️ How to Use
Bullish Confirmation: Look for the ADDQ line to cross above the Signal line while the histogram turns bright teal.
Overextended Markets: When the background turns teal or red, the NASDAQ is reaching extreme breadth levels (+/- 1500). These are often areas where the market is prone to mean reversion or a temporary pause.
Divergence: If price is making new highs but the ADDQ Oscillator is making lower highs, it suggests the rally is losing participation.
⚙️ Settings
Signal Length: Adjust the smoothness of the yellow signal line.
Histogram Scale: Since ADDQ values are large, use this to make the histogram bars more or less prominent.
Extreme Level: Customize the threshold for "Extreme" market conditions based on current volatility.
Note: This indicator requires access to NASDAQ Market Internals data. If the debug table shows "no data," ensure you have the appropriate NASDAQ data package or are using a broker feed that supports breadth symbols.
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