Indicator

Indicator

VuManChu B PRO - Confluence EditionVersão refinada do clássico VuManChu Cipher B Divergences, focada em reduzir ruído e aumentar a assertividade dos sinais através de filtros de contexto e um sistema de score de confluência.
🙏 Créditos
Este indicador é uma evolução do trabalho original do VuManChu (Cipher B Divergences), que por sua vez foi inspirado em códigos de:
dynausmaux — código base
LazyBear — WaveTrend Oscillator
RicardoSantos — Divergence Detector
LucemAnb — Plain Stochastic Divergence
andreholanda73 — MFI+RSI Area
falconCoin — Market Cipher B free version
Todo o crédito da matemática original (WaveTrend, divergências, MFI, Stoch RSI, Schaff) vai para esses autores. Esta versão mantém os cálculos e adiciona uma camada de filtros e lógica de sinal.
⚡ O que mudou em relação ao original
🐛 Correções de bugs
Removido barmerge.lookahead_on no acesso a timeframes superiores. O original "vazava" dados do futuro no backtest, gerando uma falsa impressão de precisão. Agora usa lookahead_off — backtest honesto.
Migração para Pine Script v5 — código mais performático, seguro e moderno.
Alertas só disparam em barstate.isconfirmed — eliminado o problema de alertas que apareciam intrabar e sumiam (repaint de alerta).
🛡️ Filtros de contexto (a maior mudança)
O original mostrava sinais sem considerar o contexto de mercado. Agora há 4 filtros que podem ser ligados/desligados individualmente:
Filtro de tendência (EMA 50/200): bloqueia sinais contra-tendência quando a tendência é forte. Evita "pegar faca caindo".
Filtro de regime (ADX 14): descarta sinais em mercado morto (ADX < 15) e bloqueia divergências contrárias em tendência muito forte (ADX > 40).
Filtro de volume: exige volume acima da média (configurável). Divergência sem volume é quase sempre falsa.
Filtro de volatilidade (ATR): descarta velas pequenas demais (ruído de range).
🎯 Sistema de Score de Confluência
Em vez de plotar todos os sinais (como o original fazia), o PRO usa um score de 0 a 6 pontos. O sinal só aparece quando o score atinge o mínimo configurável (padrão: 3).
Critério Pontos padrão
WT cross em zona OB/OS +1
Divergência WaveTrend +2
Divergência RSI +1
MFI alinhado (>0 compra, <0 venda) +1
Stoch RSI cruzando em zona extrema +1
Tendência a favor (EMA) +1
Triângulo verde-claro = score atingiu o mínimo.
Triângulo verde-escuro = score forte (mínimo + 1 ou mais).
Todos os pesos são configuráveis — você pode dar mais peso ao critério que confia mais.
🕐 Cooldown anti-whipsaw
Configurável (padrão: 5 barras). Após um sinal, bloqueia novos sinais na mesma direção pelo período definido. Elimina aqueles clusters de pontos seguidos que confundiam o original.
📋 Painel de status em tempo real
Label flutuante no canto direito mostra:
Score atual de compra e venda
Valor do ADX e classificação (forte/ok/fraco)
Direção da tendência (UP/DOWN/FLAT)
Status dos filtros de volume e ATR
Você vê na hora por que um sinal está ou não sendo gerado.
🔄 Modo Clássico opcional
Toggle no topo: desligando o "Modo PRO", o indicador volta ao comportamento original do VuManChu. Útil pra comparar lado a lado.
🥇 Gold Buy preservado
O famoso círculo dourado do VuManChu foi mantido, mas agora também passa pelos filtros de contexto — fica ainda mais raro e ainda mais confiável.
📈 Como usar
Sinais principais
Sinal Significado
🔺 Triângulo verde PRO BUY — confluência mínima atingida
🟢 Triângulo verde escuro PRO BUY forte — score acima do mínimo
🔻 Triângulo vermelho PRO SELL
🟡 Círculo dourado Gold Buy — alta probabilidade (raro)
⚪ Círculos pequenos WaveTrend cross (informacional)
Timeframes recomendados
Sweet spot: 1h, 4h, 12h
Excelente para swing/DCA: Diário, Semanal
Funciona com ajustes: 15m, 30m (subir score mínimo para 4)
Não recomendado: abaixo de 15m
Configuração rápida por estilo
Day trade (15m–1h):
Score mínimo: 4
Cooldown: 8 barras
ADX mínimo: 20
Swing (4h–12h):
Score mínimo: 3 (padrão)
Cooldown: 5 (padrão)
DCA / Position (Diário–Semanal):
Score mínimo: 4
Foco em Gold Buy
Ignorar sinais de venda
🚨 Alertas disponíveis
PRO Buy — sinal de compra com score atingido
PRO Sell — sinal de venda com score atingido
Gold Buy — sinal raro de alta probabilidade
Classic Buy/Sell — versão original (se quiser usar)
Todos os alertas disparam apenas em barra fechada (sem repaint).
⚠️ Disclaimer
Este indicador é uma ferramenta de análise, não uma recomendação de investimento. Nenhum indicador acerta 100%. Use sempre:
Gerenciamento de risco (stop loss, position sizing)
Confluência com sua própria análise
Backtest no seu ativo e timeframe antes de usar capital real
Mercado é probabilidade, não certeza. DYOR.
🤝 Open Source
Código aberto sob licença Mozilla Public License 2.0 (mesma do original). Fique à vontade para forkar, melhorar e contribuir.
Se gostou, deixe um boost ⚡ e compartilhe seu setup nos comentários — ajuda outros traders a calibrar os filtros para seu mercado.
Bons trades! 📈 Indicator

Indicator

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Indicator

Indicator

Multi-Timeframe Momentum [EXCAVO]Five-Timeframe EMA and RSI Alignment with Confluence Detection
The Multi-Timeframe Momentum reads EMA position and RSI level across five
user-configurable timeframes simultaneously, assigning a BULL, NEUT, or BEAR bias
to each. When the required number of timeframes are fully aligned in the same
direction, a confluence condition is active: candles are colored and a labeled
marker appears at the bar where alignment begins. A compact dashboard displays
each timeframe's conditions, alignment counts, and a composite momentum score.
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▸ HOW TO USE
Step 1 → Add the indicator to the price chart. The dashboard appears in the
corner and candles begin coloring as soon as confluence conditions
are met.
Step 2 → Read the dashboard. Each row shows one timeframe: TF label, EMA
direction, RSI value, and BIAS (BULL / NEUT / BEAR). When the
alignment threshold is reached, the Bull Align or Bear Align row
highlights. The Score row shows the composite reading from -10 to +10.
Step 3 → A labeled marker below a bar marks the start of bull confluence -
the first bar where Min Confluence timeframes aligned bullish on close.
The label shows the alignment count (e.g. 4/5 or 5/5). A marker above
the bar marks the start of bear confluence. Candles remain colored
for the entire duration that confluence is active.
Step 4 → Adjust Min Confluence (default 4). At 5, all five timeframes must
agree. At 3, partial alignment is sufficient and conditions become
more frequent.
Step 5 → Set up confluence alerts to receive notifications on bar close.
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▸ HOW IT CALCULATES
◆ EMA Position
For each timeframe, the indicator fetches the previous closed bar's EMA(length) and
close price using request.security() with a offset and barmerge.lookahead_on.
EMA direction is bullish when close is above the EMA, bearish when close is below.
The offset and confirmed-bar gating ensure values do not change after the bar
closes.
◆ RSI Level
RSI(length) is computed on the same confirmed closed bar for each timeframe.
RSI above 50 is treated as bullish momentum; RSI below 50 is bearish. The 50 level
is used as the neutral boundary because it indicates whether average gains exceed
average losses over the lookback period.
◆ Bias Score
Each timeframe receives a score based on the combination of EMA and RSI readings:
BULL (+2) - close above EMA and RSI above 50 (both conditions bullish)
NEUT (0) - close above EMA but RSI below 50, or vice versa (conditions conflict)
BEAR (-2) - close below EMA and RSI below 50 (both conditions bearish)
A score of 0 occurs when EMA and RSI disagree, indicating an ambiguous condition on
that timeframe.
◆ Composite Score
The sum of all five timeframe scores produces a composite reading from -10 to +10.
A score of +10 means every timeframe has both EMA and RSI bullish simultaneously.
A score of 0 indicates a balanced or mixed market across all timeframes. The score
is visible in the dashboard and included in JSON alerts.
◆ Confluence Detection
Bull confluence counts how many of the five timeframes have a BULL score (+2). Bear
confluence counts BEAR scores (-2). When either count reaches or exceeds the Min
Confluence threshold, the condition is active. A confluence marker appears on the
first bar where the count hits the threshold on a confirmed close. Candles remain
colored for every bar that the confluence condition stays active.
◆ Non-Repainting
All timeframe data is sourced via request.security() with expression and
barmerge.lookahead_on. The offset reads the last fully closed bar on each
timeframe, not the forming bar. Confluence markers are drawn only after
barstate.isconfirmed, so no marker appears until the bar closes. No value changes
after a bar is confirmed.
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▸ WHAT MAKES IT DIFFERENT
◆ Dual Filter per Timeframe
Unlike most multi-timeframe panels that display raw RSI values or a single trend
condition, this indicator requires both EMA position and RSI direction to agree
before assigning a bullish or bearish bias. Using two independent filters produces
three distinct states per timeframe rather than two. The NEUT state explicitly
captures the case where trend and momentum disagree, making ambiguity visible in
the dashboard rather than forcing unclear conditions into bull or bear.
◆ Composite Momentum Score
Beyond counting aligned timeframes, the indicator computes a composite score that
weights each timeframe's full EMA+RSI agreement. A reading of +8 distinguishes a
strong four-timeframe alignment where both filters agree from a weaker condition
where only one filter is bullish on each timeframe. Most multi-timeframe indicators
show binary per-row state; the score aggregates across the full five-timeframe stack.
◆ Active Confluence Duration
The labeled marker at the start of a confluence period is paired with candle coloring
that persists for the entire duration confluence remains active. This makes it
immediately visible how long the current alignment has been in effect, not just when
it began.
◆ Adjustable Confluence Threshold
The Min Confluence input directly controls detection sensitivity. At 5, only full
agreement across all five timeframes triggers a condition. At 3, partial alignment is
sufficient. The threshold is explicit and adjustable rather than fixed in code.
◆ Non-Repainting Design
Each timeframe reads the previous confirmed bar's data. No value changes after the
bar closes, and no marker is drawn until barstate.isconfirmed is true. Bar coloring
reflects the current live state, but confluence markers are final once drawn.
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▸ DASHBOARD
Compact panel showing current conditions across all five timeframes:
TF - timeframe label (1m, 5m, 1H, 4H, 1D, etc.)
EMA - direction marker; blue if close is above EMA, red if below
RSI - current RSI value; blue when above 50, red when below
BIAS - BULL (both bullish), NEUT (mixed), or BEAR (both bearish)
Bull Align - count of timeframes with BULL bias; row highlights blue when threshold met
Bear Align - count of timeframes with BEAR bias; row highlights red when threshold met
Score - composite momentum reading from -10 to +10 across all five timeframes
Legend table (bottom left) explains confluence markers, bar coloring, and BIAS labels.
Both panels toggle in Dashboard settings.
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▸ SETTINGS
Timeframes
TF 1 - TF 5 - five configurable timeframes (defaults: 5m, 15m, 1H, 4H, D)
Engine
EMA Length - 20 bars (period for EMA bias calculation)
RSI Length - 14 bars (period for RSI calculation)
Signals
Min Confluence - 4 (minimum aligned timeframes to activate a confluence condition)
Visualization
Bull Color - default blue
Bear Color - default red
Bar Color - ON (colors candles blue during bull confluence, red during bear confluence)
Background Highlight - OFF (subtle tint when confluence is active)
Alerts
JSON Alerts - OFF (enable for bot integration)
Dashboard
Dashboard Position - Top Right
Show Dashboard - ON
Show Legend - ON
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▸ ALERTS
Bull Confluence - Min Confluence timeframes first aligned bullish on bar close
Bear Confluence - Min Confluence timeframes first aligned bearish on bar close
Confluence Signal - any confluence condition detected on bar close
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Best regards,
EXCAVO
Disclaimer
Trading involves significant risk. This indicator is a technical analysis tool
and does not constitute financial advice, investment recommendations, or a
guarantee of future results. Past indicator behavior does not guarantee future
performance. Always use proper risk management and your own judgment.
Indicator

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Indicator

Wickless CandlesWickless Candles – Multi-Timeframe Levels
Marks wickless candles (Marubozu-style candles with no wick on one or both sides) as horizontal levels across multiple timeframes. These candles form when price closes in one direction without testing the opposite side even once during the bar – a sign of clean, one-sided order flow. The high/low levels of such candles often act as future support or resistance zones.
What it does
The indicator scans multiple timeframes in parallel (1H, 4H, 1D, 1W by default, plus 15m and current chart optional) and draws a horizontal line from the candle body the moment a wickless candle closes:
Top (red): line at the high level when the candle has no upper wick.
Bottom (green): line at the low level when the candle has no lower wick.
A fully wickless candle (true Marubozu) produces both lines.
Lines extend bar by bar until price reaches the level again. By default, the line is removed on first touch (setting „Hide broken lines") – so only untested levels stay on the chart and the view remains clean.
Detection logic:
A candle qualifies as wickless on a given side when:
No upper wick: high == max(open, close)
No lower wick: low == min(open, close)
Detection runs strictly on candle close (non-repainting). Higher timeframes are read via request.security with lookahead_on and indexing on the last closed HTF candle – levels are only drawn after the HTF candle has fully closed, and never change afterwards.
Settings
Timeframes:
Individually toggleable: Current chart, 15m, 1H, 4H, 1D, 1W
Timeframe label at the line end (e.g. „1D", „4H") – follows the right edge of the line, so it's always clear which TF the level came from
Display:
Line width (1–4)
Line style: solid, dashed, dotted
Hide broken lines (on: line disappears on touch / off: line stops at touch and stays visible)
Colors:
Freely customizable for upper and lower markings (default: subtle red/green with transparency)
How to use
Typical setup: a lower-timeframe chart (e.g. 15m or 1H) with higher TFs enabled (4H, 1D, 1W). At a glance you see which 1D or 1W levels price last closed against one-sidedly, and which of those levels haven't been retested yet – often high-quality reaction zones for pullbacks or breakouts.
Note:
Timeframes lower than the chart TF (e.g. 15m on a 4H chart) are only sampled coarsely by Pine Script – not every 15m wickless candle will be captured in that case. For full coverage, select TF >= chart TF.
Alert:
Built-in alert „Wickless candle (Chart)" fires when a wickless candle closes on the current chart timeframe. Indicator

Indicator

VK_CPR Buy OptionsVK CPR Buy Options is a trend-following options entry indicator based on Central Pivot Range (CPR). It detects when price crosses above/below the CPR Top or Bottom and suggests the appropriate Call or Put strike. Includes Camarilla and Traditional R1/S1 strike methods, auto strike rounding, backtest stats table, PCR tracker, and day-filter controls. Designed for Indian index options trading (Nifty/Sensex).
📋 REGULATORY DISCLOSURE
//───────────────────
//- NOT SEBI REGISTERED - The creator is not registered with SEBI (Securities
// and Exchange Board of India) or any other financial regulatory authority.
//
//- NOT FINANCIAL ADVICE - This indicator is provided for EDUCATIONAL and
// INFORMATIONAL purposes only. It does not constitute financial advice,
// investment advice, trading advice, or any other sort of advice.
//
//- NO INVESTMENT ADVISOR RELATIONSHIP - Use of this indicator does not create
// an advisory or fiduciary relationship between you and the creator.
//
//⚠️ PERFORMANCE & ACCURACY
//─────────────────────
//- NO GUARANTEE OF RESULTS - Past performance does NOT guarantee future results.
// Profitable trades in backtesting or historical data do not ensure future
// profitability.
//
//- NO WARRANTY - This indicator is provided "AS IS" without warranty of any kind,
// either expressed or implied. The creator makes no guarantee regarding accuracy,
// reliability, or completeness of signals.
//
//- MARKET RISKS - All trading involves substantial risk. Markets can be volatile,
// unpredictable, and subject to sudden changes. No indicator can predict market
// movements with certainty.
//
//💰 FINANCIAL RISK WARNING
//─────────────────────
//- HIGH RISK OF LOSS - Trading in stocks, derivatives, forex, crypto, and other
// financial instruments involves substantial risk of loss and is not suitable
// for all investors.
//
//- CAPITAL AT RISK - You should only trade with capital you can afford to lose
// completely. Never invest money you cannot afford to lose.
//
//- LEVERAGE RISKS - If trading with leverage or margin, losses can exceed your
// initial investment. Use leverage cautiously.
//
//- EMOTIONAL & PSYCHOLOGICAL RISKS - Trading can be stressful. Ensure you have
// the emotional capacity to handle potential losses.
//
//👤 YOUR SOLE RESPONSIBILITY
//─────────────────────
//- PERSONAL ACCOUNTABILITY - You are SOLELY and ENTIRELY responsible for:
// ✗ All trading decisions you make
// ✗ All profits and losses resulting from your trades
// ✗ All tax obligations and regulatory compliance
// ✗ Understanding the risks involved before trading
//
//- DO YOUR OWN RESEARCH - Never trade based solely on indicator signals. Always:
// ✓ Conduct your own analysis and research
// ✓ Understand the assets you're trading
// ✓ Have a clear risk management strategy
// ✓ Use proper position sizing
// ✓ Set and follow stop losses
//
//- SEEK PROFESSIONAL ADVICE - Consult with a qualified, registered financial
// advisor before making investment decisions, especially if you're uncertain
// about the suitability of any investment.
//
//- BACKTESTING RECOMMENDED - Before using this indicator with real money:
// 1. Backtest on historical data
// 2. Paper trade to verify performance
// 3. Start with small position sizes
// 4. Gradually scale up only after consistent results
//
//- NO OPTIMAL SETTINGS - There is NO "perfect" setting that works for all
// markets, timeframes, or trading styles. What works in one market condition
// may fail in another.
//
//📊 INDICATOR LIMITATIONS
//──────────────────
//- TOOL, NOT SOLUTION - This indicator is a TOOL to assist your analysis. It
// should be used as part of a comprehensive trading strategy, not as a
// standalone system.
//
//- LAGGING INDICATORS - Most technical indicators, including this one, are based
// on historical price data and may lag current market conditions.
//
//- FALSE SIGNALS - All indicators generate false signals. No indicator is 100%
// accurate. Losses are inevitable in trading.
//
//- WORKS BEST IN TRENDS - This indicator is designed for trending markets. It
// may produce suboptimal results in sideways/ranging markets.
//
//🚫 WHAT THIS INDICATOR DOES NOT DO
//───────────────────────────
//✗ Does NOT guarantee profits
//✗ Does NOT eliminate risk
//✗ Does NOT replace proper education
//✗ Does NOT work 100% of the time
//✗ Does NOT predict the future
//✗ Does NOT replace risk management
//✗ Does NOT compensate for poor trading discipline
//
//✅ BEST PRACTICES FOR SAFE USAGE
//─────────────────────────
//1. EDUCATE YOURSELF - Learn about technical analysis, risk management, and
// trading psychology before trading with real money.
//
//2. START SMALL - Begin with paper trading or very small positions until you
// develop confidence and consistency.
//
//3. RISK MANAGEMENT - Never risk more than 1-2% of your capital on a single trade.
//
//4. USE STOP LOSSES - Always use stop losses. This indicator provides trailing
// stop levels - USE THEM!
//
//5. COMBINE METHODS - Use multiple forms of analysis (fundamental, technical,
// sentiment) along with this indicator.
//
//6. JOURNAL YOUR TRADES - Keep a detailed trading journal to learn from both
// wins and losses.
//
//7. MANAGE EMOTIONS - Follow your trading plan. Don't chase trades or revenge
// trade after losses.
//
//8. TEST BEFORE TRADING - Thoroughly backtest and forward test any settings
// before using real money.
//
//📞 QUESTIONS OR ISSUES?
//──────────────────
//This indicator is provided as-is for educational purposes. The creator provides
//no ongoing support, guarantees, or liability for its use.
//
//══════════════════════════════════════════════════
//BY USING THIS INDICATOR, YOU ACKNOWLEDGE THAT YOU HAVE READ, UNDERSTOOD,
//AND AGREE TO ALL TERMS OF THIS DISCLAIMER. YOU ACCEPT FULL RESPONSIBILITY
//FOR YOUR TRADING DECISIONS AND ANY RESULTING OUTCOMES.
//═════════════════════════════════════════════════════════
//
//⚖️ LEGAL NOTICE
//──────────────
//If trading is regulated in your jurisdiction, ensure you comply with all
//applicable laws and regulations. The creator assumes no responsibility for
//any legal consequences resulting from your use of this indicator.
//
//📅 Last Updated: 24 December 2025
//═══════════════════════
//
//💪 Trade Smart. Trade with Discipline. Stay on the Trend Side! Indicator

VK_MomentumEdge Pro//═══════════════════════════════════
//📊 MOMENTUM EDGE PRO - DESCRIPTION
//═══════════════════════════════════
//
//🎯 STAY WITH THE TREND, TRADE WITH CONFIDENCE
//
//This powerful indicator combines multiple proven strategies to keep you on
//the RIGHT SIDE of the market. No more guessing - let the trend be your friend!
//
////
//📈 WHAT'S INCLUDED:
//─────────────────────────────────────────
//✅ ATR MA & ATR (Blue and Red lines) - Your trend direction guide
//✅ ATR Trail (B1/S1) - Perfect for QUICK TRADES with trailing SL
//✅ SuperTrend (B2/S2) - Catch the BIG moves
//✅ ORB (Opening Range Breakout) - Day trading edge
//
//🎯 TRADING STRATEGIES - Four Powerful Methods
//════════════════════════════════
//📍 STRATEGY 1: SIGNAL-BASED TRADING (Recommended for Beginners)
//──────────────────────────────────────────────
//
//🟢 LONG TRADES (B1/B2 Signals)
// Entry: When B1 or B2 signal appears AFTER CANDLE CLOSE
// Stop Loss: Previous candle low OR recent swing low
// Target:
// • Conservative: 1:1 Risk-Reward
// • Moderate: 1:2 Risk-Reward
// • Aggressive: 1:3 to 1:4 Risk-Reward (after backtesting)
//
// 💡 Tip: B1 = Quick scalps | B2 = Swing trades
//
//🔴 SHORT TRADES (S1/S2 Signals)
// Entry: When S1 or S2 signal appears AFTER CANDLE CLOSE
// Stop Loss: Previous candle high OR recent swing high
// Target:
// • Conservative: 1:1 Risk-Reward
// • Moderate: 1:2 Risk-Reward
// • Aggressive: 1:3 to 1:4 Risk-Reward (after backtesting)
//
// 💡 Tip: S1 = Quick scalps | S2 = Swing trades
//
//────────────────────────────────────────────────────────
//
//📍 STRATEGY 2: ATR CROSSOVER SYSTEM (Trend Following)
//──────────────────────────────────────
//
//🟢 LONG SETUP
// Entry: When Blue ATR MA crosses ABOVE Red ATR line
// Stop Loss: Red ATR line (trailing stop)
// Exit: When Blue ATR MA crosses BELOW Red ATR line
//
// 💡 Best for: Capturing strong trends, ride the momentum
//
//🔴 SHORT SETUP
// Entry: When Blue ATR MA crosses BELOW Red ATR line
// Stop Loss: Red ATR line (trailing stop)
// Exit: When Blue ATR MA crosses ABOVE Red ATR line
//
// 💡 Best for: Riding downtrends with protected downside
//
//─────────────────────────────────────────────────────────
//
//📍 STRATEGY 3: OPENING RANGE BREAKOUT (Day Trading)
//──────────────────────────────────────
//
//🟢 LONG BREAKOUT
// Entry: Price breaks ABOVE white ORB high line (first 15 min range)
// Stop Loss: Below white ORB low line
// Target: 1:1 to 1:2 Risk-Reward
//
// 💡 Best Time: First 30-60 minutes after market open
//
//🔴 SHORT BREAKDOWN
// Entry: Price breaks BELOW white ORB low line (first 15 min range)
// Stop Loss: Above white ORB high line
// Target: 1:1 to 1:2 Risk-Reward
//
// 💡 Best Time: First 30-60 minutes after market open
//
//───────────────────────────────────────────────────────────
//
//📍 STRATEGY 4: MULTI-CONFIRMATION APPROACH (Advanced)
//────────────────────────────────────────
//
//🎯 HIGHEST PROBABILITY TRADES - Combine Multiple Signals:
//
//Example Long Setup:
// ✓ B1 / B2 signal appears on single candle
// ✓ Blue ATR MA is above Red ATR line (trend confirmation)
// ✓ Price breaks above ORB high (momentum confirmation)
// ✓ SuperTrend shows green (bullish confirmation)
//
// Entry: When 2-3 confirmations align
// Stop Loss: Most recent support level
// Target: 1:2 to 1:4 Risk-Reward
//
// 💡 Tip: More confirmations = Higher probability, but fewer trades
//
//──────────────────────────────────────────────────────────
//
//🔧 CUSTOMIZATION FOR YOUR TRADING STYLE
//═══════════════════════════════════════════════════════════
//
//Access Settings to Adjust:
//
//📊 For More Signals (More frequent, less reliable):
// • Decrease ATR Length (e.g., from 11 to 7-8)
// • Decrease SuperTrend Multiplier (e.g., from 2.2 to 1.8-2.0)
// • Decrease ATR Trail Multiplier (e.g., from 1.1 to 0.9-1.0)
//
//📊 For Fewer Signals (Less frequent, more reliable):
// • Increase ATR Length (e.g., from 11 to 14-17)
// • Increase SuperTrend Multiplier (e.g., from 2.2 to 2.5-3.0)
// • Increase ATR Trail Multiplier (e.g., from 1.1 to 1.3-1.5)
//
//📊 For Different Timeframes:
// • Lower Timeframes (1min-5min): Use tighter parameters
// • Higher Timeframes (1H-Daily): Use wider parameters
// • Backtest thoroughly before going live
//
//⚠️ IMPORTANT: Always backtest any parameter changes before using real money!
//
//⚠️ IMPORTANT DISCLAIMER & RISK WARNING
//══════════════════════════════
//
//📋 REGULATORY DISCLOSURE
//───────────────────
//- NOT SEBI REGISTERED - The creator is not registered with SEBI (Securities
// and Exchange Board of India) or any other financial regulatory authority.
//
//- NOT FINANCIAL ADVICE - This indicator is provided for EDUCATIONAL and
// INFORMATIONAL purposes only. It does not constitute financial advice,
// investment advice, trading advice, or any other sort of advice.
//
//- NO INVESTMENT ADVISOR RELATIONSHIP - Use of this indicator does not create
// an advisory or fiduciary relationship between you and the creator.
//
//⚠️ PERFORMANCE & ACCURACY
//─────────────────────
//- NO GUARANTEE OF RESULTS - Past performance does NOT guarantee future results.
// Profitable trades in backtesting or historical data do not ensure future
// profitability.
//
//- NO WARRANTY - This indicator is provided "AS IS" without warranty of any kind,
// either expressed or implied. The creator makes no guarantee regarding accuracy,
// reliability, or completeness of signals.
//
//- MARKET RISKS - All trading involves substantial risk. Markets can be volatile,
// unpredictable, and subject to sudden changes. No indicator can predict market
// movements with certainty.
//
//💰 FINANCIAL RISK WARNING
//─────────────────────
//- HIGH RISK OF LOSS - Trading in stocks, derivatives, forex, crypto, and other
// financial instruments involves substantial risk of loss and is not suitable
// for all investors.
//
//- CAPITAL AT RISK - You should only trade with capital you can afford to lose
// completely. Never invest money you cannot afford to lose.
//
//- LEVERAGE RISKS - If trading with leverage or margin, losses can exceed your
// initial investment. Use leverage cautiously.
//
//- EMOTIONAL & PSYCHOLOGICAL RISKS - Trading can be stressful. Ensure you have
// the emotional capacity to handle potential losses.
//
//👤 YOUR SOLE RESPONSIBILITY
//─────────────────────
//- PERSONAL ACCOUNTABILITY - You are SOLELY and ENTIRELY responsible for:
// ✗ All trading decisions you make
// ✗ All profits and losses resulting from your trades
// ✗ All tax obligations and regulatory compliance
// ✗ Understanding the risks involved before trading
//
//- DO YOUR OWN RESEARCH - Never trade based solely on indicator signals. Always:
// ✓ Conduct your own analysis and research
// ✓ Understand the assets you're trading
// ✓ Have a clear risk management strategy
// ✓ Use proper position sizing
// ✓ Set and follow stop losses
//
//- SEEK PROFESSIONAL ADVICE - Consult with a qualified, registered financial
// advisor before making investment decisions, especially if you're uncertain
// about the suitability of any investment.
//
//- BACKTESTING RECOMMENDED - Before using this indicator with real money:
// 1. Backtest on historical data
// 2. Paper trade to verify performance
// 3. Start with small position sizes
// 4. Gradually scale up only after consistent results
//
//- NO OPTIMAL SETTINGS - There is NO "perfect" setting that works for all
// markets, timeframes, or trading styles. What works in one market condition
// may fail in another.
//
//📊 INDICATOR LIMITATIONS
//──────────────────
//- TOOL, NOT SOLUTION - This indicator is a TOOL to assist your analysis. It
// should be used as part of a comprehensive trading strategy, not as a
// standalone system.
//
//- LAGGING INDICATORS - Most technical indicators, including this one, are based
// on historical price data and may lag current market conditions.
//
//- FALSE SIGNALS - All indicators generate false signals. No indicator is 100%
// accurate. Losses are inevitable in trading.
//
//- WORKS BEST IN TRENDS - This indicator is designed for trending markets. It
// may produce suboptimal results in sideways/ranging markets.
//
//🚫 WHAT THIS INDICATOR DOES NOT DO
//───────────────────────────
//✗ Does NOT guarantee profits
//✗ Does NOT eliminate risk
//✗ Does NOT replace proper education
//✗ Does NOT work 100% of the time
//✗ Does NOT predict the future
//✗ Does NOT replace risk management
//✗ Does NOT compensate for poor trading discipline
//
//✅ BEST PRACTICES FOR SAFE USAGE
//─────────────────────────
//1. EDUCATE YOURSELF - Learn about technical analysis, risk management, and
// trading psychology before trading with real money.
//
//2. START SMALL - Begin with paper trading or very small positions until you
// develop confidence and consistency.
//
//3. RISK MANAGEMENT - Never risk more than 1-2% of your capital on a single trade.
//
//4. USE STOP LOSSES - Always use stop losses. This indicator provides trailing
// stop levels - USE THEM!
//
//5. COMBINE METHODS - Use multiple forms of analysis (fundamental, technical,
// sentiment) along with this indicator.
//
//6. JOURNAL YOUR TRADES - Keep a detailed trading journal to learn from both
// wins and losses.
//
//7. MANAGE EMOTIONS - Follow your trading plan. Don't chase trades or revenge
// trade after losses.
//
//8. TEST BEFORE TRADING - Thoroughly backtest and forward test any settings
// before using real money.
//
//📞 QUESTIONS OR ISSUES?
//──────────────────
//This indicator is provided as-is for educational purposes. The creator provides
//no ongoing support, guarantees, or liability for its use.
//
//══════════════════════════════════════════════════
//BY USING THIS INDICATOR, YOU ACKNOWLEDGE THAT YOU HAVE READ, UNDERSTOOD,
//AND AGREE TO ALL TERMS OF THIS DISCLAIMER. YOU ACCEPT FULL RESPONSIBILITY
//FOR YOUR TRADING DECISIONS AND ANY RESULTING OUTCOMES.
//═════════════════════════════════════════════════════════
//
//⚖️ LEGAL NOTICE
//──────────────
//If trading is regulated in your jurisdiction, ensure you comply with all
//applicable laws and regulations. The creator assumes no responsibility for
//any legal consequences resulting from your use of this indicator.
//
//📅 Last Updated: 10 May 2026
//═══════════════════════
//
//💪 Trade Smart. Trade with Discipline. Stay on the Trend Side!
//══════════════════════════════════════════
//
//
Indicator

Indicator

Indicator

Indicator

Wick Reversal SIM V2 Fixed Wick Reversal SIM is a price-action-based reversal + trade simulation tool designed to identify high-probability turning points using wick dominance and then instantly map out a complete trade plan (entry, stop loss, and multiple take profits).
It combines pure candlestick psychology with automated risk management visualization, making it both:
a signal generator
and a trade execution framework
What It Is Made Of (Core Components)
1. Wick Strength Engine
At its core, the indicator measures:
Body size → |close - open|
Upper wick
Lower wick
Then compares wick size vs body using:
Wick ÷ Body ≥ Threshold (e.g., 2.0x)
This identifies rejection candles:
Large lower wick → buyers stepped in → potential LONG
Large upper wick → sellers stepped in → potential SHORT
2. Confirmation Logic (No Blind Entries)
It does NOT enter on the wick candle itself.
Instead:
Waits for the next candle to confirm direction
LONG setup:
Previous candle = strong lower wick
Current candle = bullish close + breaks previous close
SHORT setup:
Previous candle = strong upper wick
Current candle = bearish close + breaks previous close
This reduces fake-outs and increases signal quality.
3. Trade Simulation Engine
Once a signal triggers, the indicator automatically plots:
Entry price
Stop loss (fixed %)
TP1 (partial take profit)
TP2 (runner target)
It visually draws:
Horizontal levels (entry, SL, TP1, TP2)
Risk/Reward zones (red = risk, green = reward)
Optional projected move path (arrow)
4. Risk/Reward Visualization
You instantly see:
Position structure
Risk vs reward balance
Trade quality before entering
This is huge for discipline + prop firm trading
5. Chart Signals & Visual Cues
Stars = wick setups forming
Arrows = confirmed entries
Gold candles = high rejection candles
How to Use It (Simple but Powerful)
Step-by-Step Workflow
1. Wait for a Wick Signal (Star)
Look for strong rejection (gold candle + star)
2. Wait for Confirmation
Don’t jump early — let the next candle confirm
3. Enter on Signal Arrow
LONG or SHORT appears
4. Follow the Trade Map
Entry already defined
Stop loss already calculated
TP1 + TP2 plotted
5. Manage Trade
Scale out at TP1
Let runner go to TP2
Optional: move SL to breakeven after TP1
Best Timeframes
-
Optimal:
5M → scalping (fast, high frequency)
15M → best balance (recommended)
1H → stronger confirmations, fewer trades
Less Effective:
1m → too noisy
Daily+ → signals too rare for this strategy
What to Trade With It
This indicator performs best on liquid, high-volume markets:
Top Choices:
Crypto (especially trending pairs)
BTCUSD
ETHUSD
LTCUSD (great with this setup)
Also Works Well:
Indices
NASDAQ (NQ)
S&P 500 (ES)
Good Option:
Forex
EURUSD
GBPUSD
XAUUSD (Gold — very strong with wick logic)
Why This Indicator Works
It’s based on real market behavior:
Wicks = failed moves / liquidity grabs
Large wick = trapped traders
Confirmation candle = true direction revealed
You’re essentially trading:
“Stop hunts → reversal → continuation”
- Key Rules (Don’t Ignore These)
-Don’t enter without confirmation
-Avoid ranging/choppy markets
-Don’t fight strong trends blindly
-Best used after liquidity sweeps
-Combine with structure (support/resistance)
-Trade during active sessions (NY / London)
-Pro Tip (This Changes Everything)
Use it with:
Market structure (higher highs / lower lows)
Key levels (previous highs/lows)
Session timing
The A+ setup is:
Wick rejection + structure level + confirmation = high probability trade
Bottom Line
Wick Reversal SIM is not just an indicator — it’s a full trade execution system.
It gives you:
Entry logic
Risk management
Trade visualization
Confirmation filtering
If used correctly, it eliminates:
Emotional entries
Poor risk management
Guesswork Indicator

Indicator

Smart Support / Resistance Zones PRO Smart Support / Resistance Zones PRO
Advanced dynamic Support & Resistance zone indicator for PulseWire.
This indicator detects and visualizes real market reaction zones instead of simple horizontal lines.
Zones are automatically validated by actual price retests, dynamically updated over time, and invalidated when broken.
Designed for:
• Price Action traders
• ICT / SMC traders
• Swing traders
• Scalpers
• Trend continuation & reversal analysis
Main Features
Dynamic Support & Resistance Zones
The indicator creates adaptive S/R zones using pivot structure and ATR-based volatility sizing.
Unlike classic line indicators:
• zones have real width,
• zones expand naturally,
• zones merge together when close,
• broken zones automatically stop extending.
Confirmed Retest Logic
A pivot alone does NOT create a valid support or resistance.
The zone becomes stronger only after:
1. Price leaves the zone,
2. Returns later,
3. Successfully retests it again.
This greatly reduces false supports/resistances and market noise.
Strength Percentage System
Each zone receives a strength score based on confirmed retests.
Examples:
• 20% = weak zone,
• 60% = medium strength,
• 100% = highly respected historical zone.
Stronger zones become:
• more visible,
• less transparent,
• visually emphasized.
Smart Weak Zone Filtering
Weak or unconfirmed zones can be automatically hidden.
This keeps the chart clean and highlights only meaningful institutional areas.
Support / Resistance Flip Detection
When a support breaks, it can automatically become resistance.
When resistance breaks, it can become support.
This behavior reflects real market structure transitions.
Adaptive ATR Zone Width
Zone width automatically adapts to volatility:
• tighter during low volatility,
• wider during high volatility.
Works especially well on:
• crypto,
• forex,
• indices,
• volatile sessions.
Multi-Timeframe Support & Resistance
Optional higher timeframe S/R detection.
Examples:
• trade on 15m chart,
• display additional 4H or Daily zones.
Useful for:
• confluence trading,
• HTF bias,
• institutional levels.
Heatmap Visualization
Zone transparency changes dynamically based on strength:
• weak zones = faded,
• strong zones = highlighted.
Creates a clean market heatmap effect.
Breakout Confirmation Modes
Choose how zones become invalidated:
• Candle Close breakout,
• Wick breakout.
Allows adaptation to different trading styles.
Alert System
Built-in alerts for:
• Support retests,
• Resistance retests,
• Support breaks,
• Resistance breaks.
Ideal for automated monitoring.
Recommended Markets
Optimized for:
• BTCUSDT
• ETHUSDT
• Forex pairs
• NASDAQ / SPX
• Gold
• High liquidity markets
Recommended Timeframes
Best performance on:
• 15m
• 1H
• 4H
• Daily
Suggested Settings
Crypto Scalping (5m–15m)
• Pivot Length: 5
• Confirmations for 100%: 8–10
• Minimum Retests: 1–2
Swing Trading (1H–4H)
• Pivot Length: 8–12
• Confirmations for 100%: 5–8
• Enable HTF zones
Notes
This indicator is designed to:
• reduce fake S/R zones,
• prioritize validated market structure,
• improve chart readability,
• provide institutional-style zone analysis.
No repainting after pivot confirmation.
Author Notes
The indicator focuses on realistic price interaction behavior rather than simplistic pivot plotting.
Supports:
• clean discretionary trading,
• confluence analysis,
• advanced price action workflows. Indicator

BTC Systemic Sell Pressure Engine multi-factor BTC Systemic Sell Pressure Engine V5.5 Final
BTC Systemic Sell Pressure Engine is a synthetic Bitcoin risk-monitoring indicator designed to detect when sell pressure may be building across price action, volume, structure, flow proxies, macro proxies, and market-stress conditions.
This script does not read private wallets, private exchange books, official ETF flow data, or private on-chain databases. Instead, it builds a multi-factor risk model from data available on PulseWire and optional external sources connected by the user.
The goal is not to predict every top or bottom. The goal is to help traders recognize when Bitcoin is moving from normal conditions into possible distribution, warning, critical risk, or cascade-risk environments.
WHAT THE INDICATOR ANALYZES
1. Volume and Dollar Volume
The engine checks whether chart volume and estimated dollar volume are unusually high compared with recent history. Abnormal participation can reveal aggressive activity.
2. Synthetic Delta and CVD
The script builds a synthetic delta model using candle position and volume. It also builds a synthetic CVD to detect when buying or selling pressure is not confirming price movement.
3. Distribution and Absorption
The indicator searches for hidden selling behavior, including:
- high effort with weak price progress
- upper-wick rejection
- failed breakouts
- liquidity sweeps above recent highs
- absorption near local highs
4. Structure and Liquidity Vacuum
The engine checks for important structural damage, including:
- support breaks
- bearish EMA conditions
- failed retests
- large bearish candles
- ATR expansion
- compression breakdowns
5. VWAP and OBV Pressure
The script monitors session VWAP loss and OBV divergence. If price holds high while OBV or synthetic CVD weakens, the dashboard can show early hidden weakness.
6. Higher-Timeframe Stress
The indicator checks multiple higher timeframes using non-repainting request.security() calls with lookahead_off. This helps separate small intraday noise from larger structural risk.
7. ETF Basket Proxy
The script uses a Bitcoin ETF proxy basket:
- IBIT
- FBTC
- GBTC
- BITB
- ARKB
This is not official ETF flow data. It is a price/volume proxy designed to detect weakness or divergence in institutional Bitcoin-related markets.
8. Macro Stress Proxy
The macro module uses:
- VIX
- DXY
- NDX
This helps identify risk-off environments where Bitcoin may become more vulnerable to sell pressure.
9. Stablecoin and Miner Stress
The script can monitor stablecoin dominance and Bitcoin-sensitive equities/miners such as MARA, RIOT, CLSK, and MSTR.
10. Market Stress
The market-stress module checks:
- BTC multi-exchange price spread
- BTC dominance weakness
- total crypto market-cap pressure
11. Optional External Data
Users can connect external exchange netflow or open-interest sources through PulseWire source inputs. These are optional and disabled by default.
12. Panic / Kill-Switch Mode
Manual risk amplifier for confirmed off-chart events such as exchange failure, custody risk, ETF stress, macro panic, banking stress, or other serious market events.
DASHBOARD STATES
NORMAL
No major sell-pressure event is currently detected.
WATCH
Early warning only. This should not be used alone as a trade signal.
WARNING
Sell-pressure conditions are elevated. The trader should watch structure, VWAP, CVD, OBV, and higher-timeframe confirmation.
CRITICAL
High-risk environment. This means pressure is serious, but the strongest signal still requires cascade confirmation.
CASCADE
Strongest risk state. This appears only when the engine detects extreme sell-pressure conditions with structure and volatility confirmation.
PHASE SYSTEM
NO PHASE
No major sell-pressure structure detected.
PHASE 1 DISTRIBUTION
Possible hidden selling, absorption, ETF weakness, or sweep-trap behavior.
PHASE 2 BREAKDOWN
Support failure or compression breakdown.
PHASE 3 LIQUIDATION
Cascade-style sell-pressure environment with structural failure and volatility expansion.
PHASE 4 RESET WATCH
Previous risk was high, but price has started recovering above important references.
BEST CONFIRMATION
The strongest warning condition is:
CASCADE + Grade A/A+ + Phase 3 Liquidation
Do not use WATCH alone as a trading signal. WATCH is only an early warning.
TIMEFRAME GUIDE
3m / 15m
Useful for short-term pressure warning and intraday monitoring.
4H
Useful for early serious warning.
1D
Useful for stronger confirmation.
1W
Useful for macro confirmation.
HOW TO USE
1. Watch the dashboard first.
The dashboard tells you whether the current state is NORMAL, WATCH, WARNING, CRITICAL, or CASCADE.
2. Confirm with structure.
The most important confirmation is not only score. Watch:
- Structure score
- Support / Vacuum
- HTF Bears
- OBV Div / CVD Bear
- VWAP Pressure
- Distribution Zones
3. Use Distribution Zones carefully.
A Distribution Zone marks an area where the engine detected possible hidden selling, absorption, failed breakout, or liquidity sweep. It is not automatically a short signal. It becomes more important if price rejects from it and the dashboard risk increases.
4. Use Cascade Targets only after cascade confirmation.
Cascade targets are ATR-based downside risk projections. They are not guaranteed predictions. They are volatility-based risk levels that appear only after cascade pressure is detected.
5. Use the HELP label.
The chart includes a HELP label. Hover over it to read what the indicator does, how to read the score, and how to interpret current conditions.
ALERTS
The script includes alert conditions for:
- Watch
- Warning
- Critical
- Cascade
- Institutional Trap
- Liquidity Sweep Distribution
- Compression Breakdown
- Exchange Dislocation Critical
- Risk Invalidated
The script also includes dynamic JSON alerts for automation and webhook use.
LIMITATIONS
This indicator does not have direct access to:
- private wallet labels
- private exchange order books
- official ETF creation/redemption files
- private institutional flow
- private Chainalysis data
- real exchange netflow unless connected by the user through an external source
All calculations are based on PulseWire-available data, proxy markets, and optional user-connected sources.
IMPORTANT
This is a risk-monitoring and confirmation tool. It is not financial advice. It should be used with price structure, risk management, position sizing, and independent analysis.
Open-source script Indicator

Indicator
