Indicator

TRADLEWARE-Ichimoku TK-Cross + MFI SOL
Ichimoku TK-Cross + Money Flow Index
This strategy uses the classic Ichimoku Cloud system to catch confirmed trend entries on a high-volatility altcoin, with a volume-based filter added to screen out low-conviction fakeouts.
How it works
Ichimoku Kinko Hyo ("one-glance equilibrium chart") is a trend system built from a few moving-midpoint lines. The Tenkan (short-term, plotted in blue) and Kijun (medium-term, plotted in orange) lines are each the midpoint of the highest high and lowest low over their own lookback window â similar in spirit to a moving average, but based on the range rather than the close. Two further lines, Senkou A and B, are projected forward to form the "cloud" (Kumo): a band that acts as dynamic support and resistance, shaded teal when it's bullish (Senkou A above Senkou B) and red when bearish.
On top of this, the Money Flow Index (MFI) â a volume-weighted version of RSI â checks that money is actually flowing into the asset, not just that price has moved.
Entry
A long position is opened when all three conditions are true simultaneously:
The blue Tenkan line crosses above the orange Kijun line (a bullish momentum shift)
Price is above the cloud, which should be shaded teal at this point (the broader trend is confirmed bullish)
The Money Flow Index is above 50 (volume-weighted money flow is positive, not just price drifting up on thin conviction)
The MFI filter exists specifically because this asset is prone to fakeout breakouts â moves that clear the cloud on price alone but aren't backed by real buying volume.
Exit
The position is closed when price closes back below the orange Kijun line â the "equilibrium" level the whole system is built around. An optional stop-loss (on by default) sits at the bottom of the cloud: if price loses the entire cloud â meaning it closes below whichever of the teal/red Senkou lines is lower â the broader trend structure itself has broken, not just short-term momentum.
Parameters
Tenkan length: 20
Kijun length: 60
Senkou B length: 120 (the cloud is projected forward by the Kijun length, the classic convention)
MFI length: 14
MFI minimum: 50 (stable across a 50-60 range in testing, not a fragile single value)
Stop-loss at cloud bottom: on by default, can be disabled
Label offset (ATR multiples): purely cosmetic â controls how far the BUY/SELL text labels sit from the candles so they don't overlap PulseWire's own trade markers
Start/End date range inputs let you restrict the backtest window without editing code
Position sizing is set to 99.95% of equity per trade rather than a full 100%. That small gap is deliberate: on this timeframe, sizing at exactly 100% causes PulseWire to occasionally generate tiny extra "Margin call" rows in the trade list from floating-point rounding after commission â enough of them, on this script, to noticeably distort the displayed win rate. The 0.05% gap removes those artifacts; the effect on actual results is negligible.
Costs modelled
0.1% commission per side, 3 ticks slippage, fills at next bar's open.
Intended assets and timeframe
4-hour bars. Designed and tested in Python on SOL/USDT, then validated against a live PulseWire backtest on BINANCE:SOLUSDT â entry and exit prices matched to the cent on the large majority of trades. Parameters were tuned specifically for SOL's volatility profile and are not expected to carry over unchanged to other assets.
Strategy

SMC Decision by SPPATLEThis Pine Script code implements a comprehensive Smart Money Concepts (SMC) trading indicator designed for PulseWire (Version 6). It combines institutional price-action structures (such as market structure breaks, change of character, and fair value gaps) with technical indicators and a real-time summary dashboard.
Here is a detailed breakdown of its core components and features:
1. Market Structure & SMC Components
Market Structure Breaks (BOS) & Change of Character (CHoCH): Tracks swing highs and lows to detect trend continuations (BOS) and trend reversals (CHoCH). It supports filtering breaks using either candle wicks or candle closing bodies (bodyBreak).
Fair Value Gaps (FVG): Automatically identifies and plots institutional imbalances (inefficiencies) where price moved rapidly, leaving an unfilled gap. Bullish and bearish gaps are tracked via dynamic arrays and cleared once mitigated.
Supply & Demand Zones: Scans up to the last 500 bars to plot dynamic high-volume supply and demand boundaries on the chart, complete with real-time status updates and distance calculations.
2. Technical Indicators & Volume Analysis
200-period Exponential Moving Average (EMA): Plots the baseline trend filter (ta.ema(close, 200)).
Volume Weighted Average Price (VWAP): Displays institutional benchmark pricing.
Relative Volume (RVOL): Calculates volume relative to a moving average lookback window, highlighting high-volume spikes visually on the chart (barcolor and dotted reference lines) when volume exceeds the set threshold.
3. Real-Time Dashboard & Recommendation Table
The indicator features an on-chart information table positioned at the top right that summarizes key market metrics in real time:
SMC Trend: Displays whether the current structure is BULLISH, BEARISH, or NEUTRAL.
Structure Rule: Shows the last detected market event (e.g., Bullish BOS or Bearish CHoCH).
S&D Status & Zone Distance: Reports whether price is inside or approaching a Supply/Demand zone along with percentage metrics.
200 EMA Filter: Shows price position relative to the 200 EMA with percentage deviation.
Current RVOL & Volume Power: Tracks current volume performance and relative buyer/seller power ratio.
Final Recommendation: Generates an automated signal (BUY, SELL, CAUTION, or HOLD) based on a combination of the trend filter, volume expansion, power momentum, and proximity to major zones. Indicator

Smart MoolahSmart Moolah â Order Blocks, FVG, Anchored VWAP & Structure
Smart Moolah combines several price-action concepts into one configurable toolkit, built for scalpers and day traders who track market structure, imbalances, and volume-weighted price.
WHAT IT DOES
- Order Blocks â automatically detects bullish and bearish order blocks anchored to actual swing highs/lows (not just the break event), extending forward with no length or count cap until price mitigates them.
- Fair Value Gaps (FVG) â identifies 3-candle imbalances, with an optional filter to only display FVGs that form within a defined window after a structural break (BOS/CHoCH), cutting out noise from flat, choppy consolidation.
- Break of Structure (BOS) / Change of Character (CHoCH) â swing-based structure detection, color-coded green for bullish breaks and red for bearish breaks, with labels centered on a dashed line connecting the swing point to the break.
- Anchored VWAP â session, weekly, monthly, or custom bar-count anchoring, with volume-weighted deviation bands (real standard deviation, not an approximation).
- Call / Put Hold Levels â a support level ("must hold above" for calls) and resistance level ("must hold below" for puts), derived from the nearest active order block or swing point, with a live on-chart table. Levels fade and mark "BREACHED" once price closes through them.
HOW TO USE IT
Every component is independently toggleable with its own color/style settings, grouped by section (Order Blocks, FVG, Anchored VWAP, Market Structure, Call/Put Hold Levels). Recommended starting points:
- Scalping (1-5min): Swing Lookback Length 5-8, Max FVG Boxes 5-8
- Day trading (15min-1h): Swing Lookback Length 10-15, Max FVG Boxes 10-15
The Call/Put Hold Levels are technical reference points derived from structure â they indicate whether the price action your trade thesis relies on is still intact, not a guarantee of direction or profitability.
DISCLAIMER
This script is for educational and informational purposes only. It does not constitute financial advice, and past structural behavior does not guarantee future price action. Order block, FVG, and structure detection are pattern-based approximations, not certainties. Always use independent judgment and proper risk management. Indicator

XAUUSD ICC SMC PRO 4H 15M 5MXAU/USD ICC + SMC Multi-Timeframe Indicator
The XAU/USD ICC + SMC Multi-Timeframe Indicator is designed to identify high-probability continuation setups by combining Indication, Correction and Continuation (ICC) with Supply & Demand, Liquidity Sweeps, CHoCH, BOS and multi-timeframe market structure.
The indicator follows a strict top-down process using 4H â 15M â 5M analysis.
4H â Indication and Supply/Demand
The 4-hour timeframe defines the main market direction and the institutional area of interest.
When price creates a confirmed Break of Structure (BOS), the indicator searches for the last opposite candle responsible for the displacement.
For a bullish structure, this area is marked as a 4H Demand Zone.
For a bearish structure, it is marked as a 4H Supply Zone.
The zone is automatically displayed as a rectangle and extended forward until price returns to it.
The 4H stage represents the INDICATION phase of the ICC model.
15M â Liquidity Sweep and CHoCH
Once price returns inside the 4H Supply or Demand zone, the indicator begins analyzing the 15-minute structure.
For a bullish setup, price must first take Sell-Side Liquidity below a previous 15M low and then close back above that level.
For a bearish setup, price must take Buy-Side Liquidity above a previous 15M high and close back below it.
A liquidity sweep alone is not considered an entry signal.
The indicator waits for a Change of Character (CHoCH) confirming that the short-term market structure is beginning to reverse.
The relationship between liquidity sweeps, displacement, CHoCH and BOS is similar to the structure shown in the example diagrams above.
15M â BOS Confirmation
After CHoCH, the system waits for another structural break in the same direction.
This second break is identified as the 15M BOS confirmation.
For a bullish setup:
Sell-Side Liquidity Sweep â Bullish CHoCH â Bullish BOS
For a bearish setup:
Buy-Side Liquidity Sweep â Bearish CHoCH â Bearish BOS
BOS is used primarily as a continuation confirmation, while CHoCH indicates a possible structural transition.
15M â Correction
After the BOS confirmation, the indicator waits for the market to retrace.
This retracement becomes the CORRECTION phase of the ICC model.
For a bullish setup, bearish 15-minute candles forming after the bullish BOS are monitored.
For a bearish setup, bullish candles forming after the bearish BOS are monitored.
The entire correction area is highlighted with an orange rectangle.
The indicator continuously tracks the highest and lowest points of the correction.
Correction Trendline
During the correction, the indicator automatically searches for swing points that allow it to build a correction trendline.
For a bullish setup, the correction normally creates a descending structure.
The indicator therefore draws a descending resistance trendline across the correction highs.
For a bearish setup, it draws an ascending support trendline across the correction lows.
The trendline is important because the indicator does not consider the correction finished simply because price touches an Order Block.
End of Correction
The correction ends only when price breaks the correction trendline in the direction of the original 4H setup.
Bullish sequence:
Correction â Descending Trendline â Bullish Trendline Break
Bearish sequence:
Correction â Ascending Trendline â Bearish Trendline Break
At this stage the indicator displays:
CORRECTION ENDED
TRENDLINE BREAK
CONTINUATION
This represents the transition from Correction â Continuation.
5M â Execution Zone
After the 15M continuation is confirmed, the indicator moves to the 5-minute execution logic.
For a bullish setup, it waits for a 5M bullish BOS and identifies the last bearish candle that created the displacement.
That candle becomes the new 5M Demand Zone.
For a bearish setup, the last bullish candle before the bearish displacement becomes the 5M Supply Zone.
Order Blocks combined with structural breaks are commonly visualized in this way, as shown in the example chart above.
The indicator then displays:
5M DEMAND â WAIT FOR RETEST
or
5M SUPPLY â WAIT FOR RETEST
Final BUY Signal
A BUY signal requires the complete sequence:
4H Bullish BOS
â 4H Demand
â Sell-Side Liquidity Sweep
â 15M Bullish CHoCH
â 15M Bullish BOS
â 15M Correction
â Correction Trendline Break
â 5M Bullish BOS
â 5M Demand
â Demand Retest
â Bullish Reaction
â STRONG BUY
The indicator will not generate a BUY signal simply because price enters a Demand zone.
Final SELL Signal
The bearish process is the exact opposite:
4H Bearish BOS
â 4H Supply
â Buy-Side Liquidity Sweep
â 15M Bearish CHoCH
â 15M Bearish BOS
â 15M Correction
â Correction Trendline Break
â 5M Bearish BOS
â 5M Supply
â Supply Retest
â Bearish Reaction
â STRONG SELL
Visual Color Guide
Green rectangle: 4H/5M Demand Zone
Red rectangle: 4H/5M Supply Zone
Yellow label: Liquidity Sweep
Aqua label: CHoCH
Blue label: BOS
Orange rectangle: Correction
Green/Red trendline: Correction structure
Large green label: STRONG BUY
Large red label: STRONG SELL
ICC Logic
The complete model can therefore be summarized as:
INDICATION
4H BOS + Supply/Demand
â
CORRECTION PREPARATION
Liquidity Sweep + CHoCH + 15M BOS
â
CORRECTION
15M retracement + correction trendline
â
CONTINUATION
Trendline Break + 5M BOS + Demand/Supply retest
â
EXECUTION
STRONG BUY or STRONG SELL
This structure is intentionally strict. Its purpose is to filter out ordinary Order Block touches and wait for liquidity manipulation, structural confirmation, correction and continuation before displaying the final trading signal.
Instant
Indicator

Alpha Forge Adaptive VWAP Wave v1.0.19Alpha Forge Adaptive VWAP Wave is a selective, long-side market-structure overlay designed specifically for standard 1-hour charts.
It combines an adaptive VWAP-based wave with confirmed multi-timeframe qualification to help distinguish between balanced conditions, directional expansion, and established trends. Rather than producing signals on every crossover, the indicator waits for its internal market profile and routing requirements to align.
HOW THE ROUTING WORKS
The indicator evaluates two possible routes:
⢠1H PRIMARY â The setup qualifies directly from the 1-hour market structure.
⢠4H QUALIFICATION / 1H EXECUTION â A completed 4-hour candle establishes the broader thesis while the actual entry remains timed and confirmed on the 1-hour chart.
The 1-hour route always receives priority. The 4-hour route is only considered when the primary route does not qualify.
If neither route meets the internal requirements, the dashboard displays NO QUALIFIED ROUTE. This is intentional and means the indicator is choosing to stand aside rather than force a setup.
SIGNAL MARKERS
⢠Cyan BUY â Confirmed 1-hour tactical entry.
⢠Purple 4H QUAL BUY â Confirmed 4-hour thesis with a 1-hour tactical entry.
⢠Pink EXIT â Confirmed tactical exit or protective trade-management event.
Signals are deliberately selective and will not appear on every symbol.
ADAPTIVE WAVE
The cyan and magenta wave provides a visual representation of the active VWAP structure and surrounding deviation zones.
The wave is designed to make changes in balance, direction, and structural support easier to identify without covering the underlying price action. Its width and position adapt to the market rather than remaining fixed to a single static distance.
DASHBOARD
The Alpha Forge dashboard provides a compact summary of the current operating state:
⢠STATUS â Whether the system is in a trade or standing aside.
⢠ROUTE â The timeframe path currently controlling the setup.
⢠PROFILE â The trade-management profile selected by the internal qualification process.
⢠REGIME â The detected market environment.
⢠SAMPLE â The amount of historical evidence available for the selected profile.
⢠POSITION â Current position state and active profile.
FORGE GUIDE
The Forge Guide translates the active system state into three practical sections:
⢠WAITING â What the system is currently waiting for.
⢠WATCH â The structure or protection currently being monitored.
⢠ACTION â The appropriate response for the present state.
The Guide is informational. It does not replace personal risk management or independent analysis.
RECOMMENDED USE
⢠Use standard candlesticks or bars.
⢠Use the 1-hour chart timeframe.
⢠Leave the source at its default HLC3 setting unless you are deliberately testing an alternative.
⢠The 4-hour analysis is handled internally; there is no need to change the chart to 4H.
⢠Wait for the candle to close before treating a marker as confirmed.
The indicator is primarily intended for liquid stocks and metals. It may also qualify selected forex markets, but it is deliberately selective and should not be expected to produce a route on every currency pair.
SIGNAL CONFIRMATION
BUY and EXIT events are confirmed only after the 1-hour chart candle closes.
The higher-timeframe route uses information from previously completed 4-hour candles. This prevents an unfinished 4-hour candle from being treated as confirmed evidence.
The live wave and dashboard may move while the current candle is forming. Final markers and alerts are only confirmed at candle close.
ALERTS
The script supports confirmed BUY and EXIT alerts.
For standard PulseWire notifications, create alerts from the available BUY and EXIT conditions.
For dynamic webhook messages, select âAny alert() function call.â Create webhook alerts while the dashboard is FLAT whenever possible.
PulseWire stores a snapshot of the script, chart, and settings when an alert is created. Alerts should therefore be recreated after changing the script, symbol, timeframe, or important inputs.
IMPORTANT QUALIFICATION NOTES
This is an indicator, not a PulseWire strategy.
Its internal qualification process evaluates the historical information available on the loaded chart. Qualification can therefore vary with the symbol, market-data provider, and amount of chart history available.
The internal cost filter assumes 0.05% per side. It does not separately model spread, slippage, funding, swaps, or broker-specific commissions.
Historical qualification does not guarantee future performance. A qualified route identifies alignment with the modelâs requirements; it is not a prediction or promise that a trade will be profitable.
Alpha Forge Adaptive VWAP Wave is intended as a market-structure and decision-support tool. It should be used alongside appropriate position sizing, risk controls, and independent analysis.
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RibbonFlux MA - Adaptive Flow [AFD]
Your averages are stacked and pointing the same way - but is that move widening, just holding, or already compressing?
Every MA ribbon on the shelf draws the same two or three lines and floods the gap with one colour at one opacity. So a ribbon that has pulled four ATR apart and is still separating looks exactly like a ribbon that has collapsed onto itself. The fill never tells you anything the lines didn't, which is why most people end up reading the lines and ignoring the shading entirely.
RibbonFlux makes the space between the lines carry the information. The gap is measured against ATR, ranked against its own recent history, and the shading answers to that: it deepens while the legs separate in agreement, and drains to a restrained neutral the moment they compress or lose their order. Same averages you already read - the space between them now states which of four conditions it is in.
WHY IT MATTERS
Separation and compression are the two things an MA ribbon actually knows, and the standard ribbon throws both away by drawing them identically. RibbonFlux spends its whole visual budget on that one distinction. It describes geometry already on your chart - never a prediction of what comes next, and never an instruction to act.
AT A GLANCE
Three independent averages - Lead, Base, and an optional Third. Each picks its own method, length (2-250) and price source, and a single enabled average still draws on its own.
Eight methods per slot - EMA, SMA, WMA, VWMA, HMA, RMA (Wilder), McGinley Dynamic, Fibonacci EMA Composite. Mixed freely: an HMA Lead over an EMA Base over an RMA Third is a valid setup.
Seven price sources per slot - Open, High, Low, Close, HL2, HLC3, OHLC4. Set per average rather than globally, and always on the chart timeframe.
The Flow Phase Engine - four conditions drive the fill's colour and depth: coherent expansion, stable flow, compression, mixed structure. Display only, and they never touch the MA values.
Each leg measured separately - Lead/Base and Base/Third are scored independently, so one fill can be compressing while the other expands. A single-opacity ribbon cannot show that.
Twelve palettes - Ocean, Indigo, Ember, Mono, Forest, Gold, Violet, Orderflow, Midnight, Copper, Arctic, Carbon. Or set Line color mode to Custom for a fixed colour per average, independent of the flow.
Line width and line style - 1 to 4 pixels, and Solid, Stepped, Dotted or Crosses. Applied to every core line and both halo tiers together, so the whole system thins or thickens as one.
Optional flow candles - bodies, wicks and borders take the relationship colour. Off by default, and under Adaptive dynamics they turn neutral during compression along with the ribbon.
Deliberately quiet - seven plots, two fills, one optional candle overlay. No alerts, no arrows, no dashboard, no labels, no boxes, no trendlines, nothing else drawn.
THE FOUR FLOW PHASES
Each leg of the ribbon is classified on every bar, and its own fill responds. Nothing here produces an event, and no phase ranks, scores or grades the market.
Coherent expansion - the enabled averages are in order, sloping the same way, and that leg is widening. Deepest shading: the phase factor is 1.00.
Stable flow - in order and sloping together, but the leg is not widening. Held back at 0.75.
Compression - the leg's ATR-normalized spacing sits in the bottom fifth of its own last 100 bars. Restrained neutral colour, and a phase factor of 0.00, which leaves depth at its 0.35 floor.
Mixed structure - the ordering or the slope agreement has broken. Restrained neutral colour, minimal shading at 0.25.
Compression uses a deadband, not a single threshold: a leg enters compression at a percent rank of 20 or below and only leaves it at 30 or above, so a leg hovering near one number does not flicker between two appearances. Before 100 bars of history exist, no leg is classified as compressed.
THE MECHANICS, STATED PLAINLY
ATR spacing = abs(faster average - slower average) / max(ATR(14), one tick)
leg depth = 0.35 + 0.65 x clamp(ATR spacing, 0, 1) x phase factor, then EMA-smoothed over the Flow response length
compression: enter at percent rank <= 20 over 100 bars, leave at >= 30
ordered: Lead > Base (> Third), or Lead < Base (< Third)
Flow response sets one number used three ways - the slope lookback, the expansion lookback, and the smoothing length: Quick is 2 bars, Balanced 3, Smooth 5. Setting Ribbon dynamics to Fixed bypasses the engine and holds each fill at the opacity you selected.
HOW IT DIFFERS FROM A STANDARD MA RIBBON
The fill is measured, not decorative - opacity is a function of ATR-normalized spacing and phase, recomputed every bar. A conventional ribbon fills the gap at a constant tone however wide or narrow it is.
Both legs are scored on their own terms - the Lead/Base fill and the Base/Third fill can disagree, so compression in the inner leg does not mute the outer one, or the reverse.
Compression is relative to the instrument, and sticky - a percent rank of its own history with a 20/30 deadband, not a fixed price or tick distance. It travels across symbols and timeframes without retuning.
Two methods a ribbon rarely offers - McGinley Dynamic and a Fibonacci EMA Composite. The composite is the equal-weight mean of five EMAs at Fibonacci-scaled periods; McGinley scales its own step by the fourth power of the price ratio.
The arithmetic ships with an independent open-source reference implementation - every documented formula is reproducible rather than asserted. A trust signal, not the pitch: what you are here for is the ribbon, not the tests.
THE VISUALS
Lead and Base - a crisp core line plus two restrained halo tiers each. At the default width of 2 the Lead halos are 6 and 4 pixels and the Base halos 5 and 3; Line width scales all of it together.
Glow - Off, Soft, Balanced, Rich, with opacity following Lead/Base spacing independently of the ribbon. So the lines themselves brighten as the pair separates, with a floor so they never vanish.
Ribbon shading - Off, Soft, Balanced, Rich sets the maximum depth the Flow Phases then modulate. Off removes both fills and leaves the lines.
A valid Third MA - one crisp line plus its own Base-to-Third shade. It also joins the ordering and slope tests, so enabling it makes coherence a three-line condition.
Line style - Stepped holds each value until the next bar. Dotted and Crosses place one mark per bar, so spacing follows bar width and opens up as you zoom in. Pine's plot() has no stroked dotted or dashed line, and this script uses no drawing objects to fake one.
Layering - the lines and fills draw in front of the candles, not behind them. Deliberate, so the optional flow candles can colour wicks and borders as well as bodies; if it reads heavy, Line width 1 or Glow Soft thins it.
HOW TO USE IT
Start with the defaults - Close EMA 9 over Close EMA 21, Ocean, Balanced glow and shading, Adaptive dynamics. Chosen for readability, not tuned as trading parameters.
Enable the Third MA for slower context - it defaults to Close EMA 50. Ordering then requires all three in sequence, a stricter condition than two.
Reach for Flow response first - Quick if the shading feels sluggish, Smooth if it feels twitchy. It is the one control that changes how fast the appearance reacts.
Set Ribbon dynamics to Fixed to switch the engine off - a plain constant-opacity ribbon, for comparing against what you ran before. Everything else, from palette to custom colours to width, style, glow and candle colouring, is taste: set it once and leave it.
WHAT IT DELIBERATELY DOES NOT DO
It issues no alerts and has no alert conditions at all. It draws no arrows, entries, retests, setup zones, targets or labels, keeps no dashboard or readout, and ranks, scores and grades nothing. It makes no accuracy, reliability, profitability, probability or future-result claim of any kind. Moving averages are lagging transformations of price that has already printed: visible separation, alignment or colour establishes neither future direction nor the quality of any trade. Educational chart context only - not financial advice.
DATA, TIMEFRAMES, AND WHAT TO CHECK YOURSELF
Everything is computed on your chart's own timeframe and data - there are no higher-timeframe requests anywhere in the source, so there is no lookahead argument to disclose and no second feed to reconcile against your chart.
Any MA moves while its bar is still forming , and two parts of this script also carry state from bar to bar: the McGinley recursion and the compression deadband. That describes the mechanism. Confirm it with the bar-replay tool on your own symbol and timeframe before relying on it - a description of mechanism is not that check, and nothing here claims to be.
The averages read chart OHLC - on Heikin Ashi, Renko, Range or similar they average those synthetic values, not traded prices. Use standard time-based candles if you want the averages to describe real prices.
VWMA needs usable volume, and the Fibonacci EMA Composite needs a length of 8 or more - each is simply unavailable otherwise. A selected calculation that cannot be produced stays unavailable: the script never silently substitutes another method.
McGinley seeds from an SMA of its own length, then advances by previous + (source - previous) / (0.6 x length x ratio^4). If its source or recurrence goes invalid the line goes unavailable and reseeds only after the next contiguous valid window.
Identical Lead and Base settings leave nothing to read - both lines still draw, but the ribbon and flow candles switch off and the lines fall back to neutral. A Third duplicating Lead or Base likewise draws its line while taking no shade and no phase depth.
ORIGINALITY AND CREDIT
Ribbon indicators are old ground; what is new here is that the fill is a measurement rather than a decoration - ATR-normalized leg spacing, a relative compression rank with hysteresis, and per-leg depth, all resolved into colour and opacity and nothing else. The engine is deliberately confined to display, and the surface is deliberately small.
Open source under the Mozilla Public License 2.0. (c) Auction Foundry LLC.
This indicator describes the geometry of averages computed from your chart's own price history. It is not a forecast, not a signal, and not financial advice. Indicator

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MTF Daily Bias DashboardOverview
The "MTF Daily Bias Dashboard" is a streamlined, non-intrusive utility designed specifically for Smart Money Concepts (SMC) and Inner Circle Trader (ICT) methodologies. Multi-timeframe analysis is the backbone of finding high-probability setups, but constantly switching between charts to check the higher-timeframe narrative can lead to missed lower-timeframe entries.
This indicator solves that problem by providing a clean, customizable on-chart dashboard that displays real-time, objective market bias across three different timeframes simultaneously.
Core Features
Objective Bias Detection: Bias is determined mechanically using a customizable Exponential Moving Average (EMA) and price action closes, removing emotion and guesswork from your directional bias.
Multi-Timeframe Synchronization: By default, it tracks the Daily (1D), 4-Hour (4H), and 15-Minute (15m) timeframes, giving you a complete top-down narrative at a glance.
Non-Repainting Logic: The multi-timeframe data is pulled securely, ensuring that historical signals remain accurate and current data does not repaint past the current candle formation.
Dynamic Visual Dashboard: A color-coded table (Green for Bullish, Red for Bearish) provides immediate visual confirmation of market alignment.
How It Works
The indicator evaluates the current price action against your chosen baseline (EMA).
Bullish (Green):Price closes above the EMA, and the current candle closes higher than the previous candle.
Bearish (Red): Price closes below the EMA, and the current candle closes lower than the previous candle.
Confluence: When all three timeframes show the same color, you have high-probability directional alignment, perfect for looking for lower-timeframe sweeps, order blocks, or fair value gaps in the direction of the trend.
Customization & Settings
Timeframes: Fully adjustable inputs allow you to change the three monitored timeframes to fit your specific trading model (e.g., Weekly/Daily/1H or 4H/1H/5m).
Dashboard Positioning: You can move the dashboard to any corner of your chart to ensure it never obstructs current price action.
Trend Logic: Adjust the EMA length used to calculate the bias to make the indicator more or less sensitive to recent price action.
Who is this for?
This tool is ideal for SMC, ICT, and pure price action traders who rely on the daily narrative but execute on intraday timeframes. It keeps you aligned with the macro trend while you focus on micro executions. Indicator

Auto Pattern Detector Targets [MarkitTick] Thinh 9/8/26Pivot Lookback Right: 10, 23
â Các mÃŽ hình ÄÆ°á»£c phát hiá»n
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Äáy ÄÃŽi: MÃŽ hình Äảo chiá»u tÄng giá vá»i hai Äáy liên tiếp á» các mức tương tá»±, cho thấy sá»± chuyá»n dá»ch tiá»m nÄng từ áp lá»±c bán sang áp lá»±c mua.
Äá»nh ba: MÃŽ hình Äảo chiá»u giảm giá ÄÆ°á»£c Äánh dấu bằng ba Äá»nh riêng biá»t á» mức kháng cá»± tương tá»±, phản ánh sá»± thất bại liên tục trong viá»c phá vỡ mức cao hÆ¡n.
Äáy ba: MÃŽ hình Äảo chiá»u tÄng giá ÄÆ°á»£c Äặc trưng bá»i ba Äáy liên tiếp á» mức há» trợ tương tá»±, cho thấy sá»± tÃch lÅ©y mạnh mẜ.
Äầu và Vai: MÃŽ hình Äảo chiá»u giảm giá cá» Äiá»n vá»i má»t Äá»nh trung tâm cao hÆ¡n ÄÆ°á»£c bao quanh bá»i hai Äá»nh thấp hÆ¡n, thá» hiá»n sá»± mất Äà tÄng.
Äầu và Vai ngược: MÃŽ hình Äảo chiá»u tÄng giá bao gá»m má»t Äáy trung tâm thấp hÆ¡n ÄÆ°á»£c bao quanh bá»i hai Äáy cao hÆ¡n, cho thấy sá»± chuyá»n dá»ch sang xu hưá»ng tÄng.
Cá» tÄng giá: MÃŽ hình tiếp diá»
n ngắn hạn ÄÆ°á»£c hình thà nh bá»i sá»± tÄng giá mạnh mẜ tiếp theo là sá»± tÃch lÅ©y hẹp, dá»c xuá»ng.
Cá» giảm giá (Bearish Flag): MÃŽ hình tiếp diá»
n xảy ra trong xu hưá»ng giảm, trong Äó sá»± giảm mạnh ÄÆ°á»£c theo sau bá»i má»t giai Äoạn tÃch lÅ©y hẹp, dá»c lên.
Cá» hiá»u tÄng giá (Bullish Pennant): MÃŽ hình tiếp diá»
n ÄÆ°á»£c xác Äá»nh bá»i sá»± tÄng mạnh, tiếp theo là giai Äoạn tÃch lÅ©y hình tam giác há»i tụ Äá»i xứng. Cá» hiá»u
giảm giá (Bearish Pennant): MÃŽ hình tiếp diá»
n có Äặc Äiá»m là sá»± giảm mạnh, tiếp theo là sá»± hình thà nh hình tam giác há»i tụ trưá»c khi tiếp tục giảm.
Nêm tÄng (Rising Wedge): MÃŽ hình Äảo chiá»u hoặc tiếp diá»
n, trong Äó giá tÃch lÅ©y giữa các ÄÆ°á»ng xu hưá»ng há»i tụ dá»c lên, thưá»ng báo hiá»u sá»± suy yếu tiá»m tà ng.
Nêm giảm (Falling Wedge): MÃŽ hình ÄÆ°á»£c hình thà nh bá»i các ÄÆ°á»ng xu hưá»ng há»i tụ dá»c xuá»ng, thưá»ng là tiá»n thân cá»§a má»t sá»± Äá»t phá tÄng giá.
Tam giác (Triangle): Giai Äoạn tÃch lÅ©y, trong Äó giá thu hẹp giữa các ÄÆ°á»ng xu hưá»ng há»i tụ, cho thấy sá»± Äá»t phá sắp xảy ra (TÄng dần, Giảm dần hoặc Äá»i xứng).
Hình chữ nháºt (Rectangle): Phạm vi giao dá»ch, trong Äó giá di chuyá»n theo chiá»u ngang giữa các mức há» trợ và kháng cá»± song song, cho thấy sá»± lưỡng lá»± trưá»c khi Äá»t phá.
Cá»c và tay cầm (Cup and Handle): MÃŽ hình tiếp diá»
n tÄng giá giá»ng như má»t chiếc cá»c, tiếp theo là sá»± giảm giá nhẹ, cho thấy tiá»m nÄng cho má»t Äợt tÄng giá má»i.
MÃŽ hình Cá»c và Tay cầm ngược: Má»t mÃŽ hình tiếp diá»
n giảm giá ÄÆ°á»£c hình thà nh bá»i má»t chiếc cá»c và tay cầm ngược, báo hiá»u áp lá»±c giảm giá.
## Chiến lược Mục tiêu MÃŽ hình Tá»± Äá»ng â bá»i Code2trade
Chiến lược **Auto Pattern Detector Targets** tá»± Äá»ng quét thá» trưá»ng Äá» tìm **16 mÃŽ hình biá»u Äá» kinh Äiá»n**, bao gá»m Äá»nh & Äáy ÄÃŽi, Äá»nh & Äáy ba, Vai & Äầu, Vai & Äầu ngược, Cá», Cá» hiá»u, Nêm, Tam giác, Hình chữ nháºt, Cá»c & Tay cầm, và nhiá»u hÆ¡n nữa.
Khi má»t tÃn hiá»u phá vỡ hợp lá» ÄÆ°á»£c xác nháºn bằng cách sá» dụng các bá» lá»c tÃch hợp cá»§a chiến lược, má»t thiết láºp giao dá»ch hoà n chá»nh sẜ ÄÆ°á»£c tạo ra vá»i các mức **Và o lá»nh**, **Cắt lá»** và **Chá»t lá»i** ÄÆ°á»£c xác Äá»nh trưá»c dá»±a trên mức Äá» di chuyá»n ÄÆ°á»£c Äo lưá»ng cá»§a mÃŽ hình ÄÆ°á»£c phát hiá»n.
### Cách thức hoạt Äá»ng
* Liên tục phát hiá»n các mÃŽ hình biá»u Äá» có xác suất cao bằng cách sá» dụng các Äiá»m xoay.
* Chá» tÃn hiá»u phá vỡ ÄÆ°á»£c xác nháºn trưá»c khi tạo tÃn hiá»u.
* Tá»± Äá»ng tÃnh toán Äiá»m và o lá»nh, Cắt lá» và Mục tiêu.
* Má» vá» thế Mua cho các tÃn hiá»u phá vỡ tÄng giá và vá» thế Bán cho các tÃn hiá»u phá vỡ giảm giá.
* Sá» dụng mức Cắt lá» dá»±a trên mÃŽ hình ban Äầu và Mục tiêu ÄÆ°á»£c Äo lưá»ng từ chá» báo.
* Tùy chá»n thoát khá»i vá» thế hiá»n có khi xuất hiá»n tÃn hiá»u ngược chiá»u.
### Logic giao dá»ch mặc Äá»nh
* **Và o lá»nh:** Lá»nh thá» trưá»ng sau khi tÃn hiá»u phá vỡ ÄÆ°á»£c xác nháºn.
* **Cắt lá»:** Mức vÃŽ hiá»u hóa mÃŽ hình.
* **Chá»t lá»i:** Mục tiêu di chuyá»n ÄÆ°á»£c tÃnh toán từ mÃŽ hình Äã phát hiá»n.
* **Quy mÃŽ vá» thế:** Sá» lượng cá» Äá»nh (mặc Äá»nh là 1 hợp Äá»ng).
* **Gia tÄng vá» thế:** Äã tắt.
### Các tÃnh nÄng chÃnh
* Nháºn diá»n mÃŽ hình hoà n toà n tá»± Äá»ng.
* Thá»±c hiá»n giao dá»ch khách quan, dá»±a trên quy tắc.
* Loại bá» viá»c vẜ mÃŽ hình chá»§ quan.
* Há» trợ cả giao dá»ch Mua và Bán.
* ÄÆ°á»£c xây dá»±ng trá»±c tiếp từ logic chá» báo gá»c mà khÃŽng thay Äá»i quy trình tạo tÃn hiá»u.
### Tuyên bá» miá»
n trừ trách nhiá»m rá»§i ro
Chiến lược nà y chá» dà nh cho mục ÄÃch giáo dục và nghiên cứu. Kết quả kiá»m thá» ngược trong quá khứ khÃŽng Äảm bảo hiá»u suất trong tương lai. LuÃŽn luÃŽn tá»± mình kiá»m thá» và áp dụng quản lÜ rá»§i ro thÃch hợp trưá»c khi sá» dụng chiến lược trên thá» trưá»ng thá»±c tế. Strategy

Auction Regime Engine [v1.4 Historical Auction Spans]Hereâs a polished PulseWire-ready description in the same BBCode style youâve used before.
Overview
Auction Regime Engine is a volume-profile and footprint-based auction analysis tool designed to visualize how value forms, migrates, compresses, expands and gets revisited over time.
The indicator combines a broad adaptive volume profile with historical auction episodes and a stateful regime engine.
Instead of asking only:
âWhere is the current POC / VAH / VAL?â
it tries to answer a more useful set of questions:
Where has meaningful value formed?
Was that value built once or revisited multiple times?
Is participation increasing or decreasing between revisits?
Is price currently balancing, compressing, probing, accepting or rejecting value?
If price leaves value, is the auction migrating toward another volume cluster or rotating back toward POC?
Core Concept
Traditional volume profiles aggregate volume by price, but they do not always make it easy to understand when that volume was created.
Auction Regime Engine adds a time dimension.
A broad volume concentration may contain several separate historical auctions:
C2A â Initial value development
Price leaves the area
C2B â Later revisit and value development
Each episode is displayed separately so changes in participation and accepted value can be compared directly.
Adaptive Volume Cluster Map
The right-side profile builds a high-resolution composite volume map across a broad adaptive lookback.
The engine:
Aggregates native PulseWire footprint volume by price
Automatically adapts the profile horizon to the chart timeframe
Adjusts profile resolution based on market range and volatility
Applies Gaussian smoothing to identify meaningful volume concentrations
Detects dominant HVN-style clusters
Uses low-volume valleys to separate neighboring distributions
Calculates local POC, VAH and VAL for each cluster
The result is a map of the major accepted-value regions currently present in the auction.
Historical Auction Spans
The indicator also searches the profile history for distinct periods where each price cluster was actively accepted.
For every significant episode it draws:
The full historical time span of the auction
Episode-specific VAH and VAL
Episode-specific POC
A compact volume profile inside the historical span
This makes repeated development in the same price region visible as separate auctions rather than combining everything into one historical box.
For example:
C2A BASE
...
C2B VOL -18% POC â
This means the same broad value region was revisited later, but the second auction developed approximately 18% less participation per bar while its accepted POC migrated higher.
Auction Evolution
Historical episodes belonging to the same cluster are connected with subtle dotted lines.
These connections help visualize two important changes:
Value migration â whether the episode POC moved higher or lower
Participation change â whether volume intensity strengthened or weakened on the revisit
This allows the historical map to show not only where value existed, but how the auction evolved each time price returned.
Current Auction Regime
The live engine evaluates the active cluster and classifies the current market environment.
Possible states include:
BALANCE
COMPRESSION
PROBE â / â
ACCEPTED â / â
ROTATING â / â
MIGRATED â / â
The goal is not to predict the next candle.
The goal is to distinguish between two very different auction outcomes:
Price leaves value + participation expands + acceptance develops
â potential value migration / continuation
Price tests outside value + participation fails + price returns
â rejection / rotation toward POC
Expansion and Acceptance Model
The live scoring engine evaluates several components together:
Relative volume
Range expansion relative to ATR
Footprint delta
Percentage of current footprint volume trading outside value
Current footprint POC migration
Consecutive closes outside the value area
These are combined into Participation, Expansion and Acceptance scores.
The dashboard displays them as:
P / E / A
for both bullish and bearish directions.
Dashboard
The compact dashboard separates three different concepts:
MARKET â compression / expansion environment
AUCTION â current cluster and whether price is inside or outside accepted value
FLOW â current state-machine transition such as rotation, probe or acceptance
It also displays:
Active VAH / VAL
Active cluster
Relative volume
Footprint delta
Participation / Expansion / Acceptance scores
Current auction target
Event Tape
Important auction transitions can also be shown directly on the candles.
Events include:
Pâ / Pâ â Probe
Aâ / Aâ â Accepted expansion
Fâ / Fâ â Failed break
Mâ / Mâ â Migration
Râ / Râ â Rejection / rotation
The indicator uses event priority and cooldown logic to reduce repeated signals and chart clutter.
Target Logic
When price remains inside accepted value, POC remains the natural rotational reference.
When price achieves accepted expansion outside value, the engine can instead reference the POC of the next detected volume cluster.
Conceptually:
Rejected breakout
â rotate toward current POC
Accepted breakout
â migrate toward neighboring value / next POC
Adaptive Mode
Adaptive Mode is enabled by default.
It automatically adjusts:
Profile lookback
Price-bin resolution
Gaussian smoothing
Cluster separation
Cluster selectivity
Historical event lookback
Structure refresh cadence
Compression thresholds
Expansion / acceptance thresholds
The intention is for the indicator to require minimal configuration across different timeframes.
Advanced manual overrides remain available for users who want more control.
Visual Modes
Clean
Designed for normal chart use.
Shows:
Current context profile
Most important historical auction spans
Active value structure
Sparse event markers
Dashboard
Full
Adds additional diagnostic information, including secondary events and more structural detail.
How I Use It
The indicator is intended as an auction-context tool rather than a standalone entry system.
A simple workflow is:
Identify the active value cluster.
Observe whether the market is balancing or compressing.
Watch what happens when price reaches VAH / VAL or an LVN transition.
Use the expansion and acceptance information to distinguish a genuine auction change from a failed excursion.
Use footprint / execution confirmation for the actual trade trigger.
Important Notes
Auction Regime Engine uses PulseWire's native footprint data through Pine Script.
The high-resolution current map is built directly from footprint volume rows.
For performance, the historical event state machine uses a lighter structural model between profile refreshes rather than rebuilding the entire composite footprint map on every historical bar.
Historical auction episodes are analytical reconstructions based on volume participation and should be treated as contextual structure rather than exact exchange-defined sessions.
Requirements
This script uses `request.footprint()` and therefore requires access to PulseWire's Pine footprint functionality.
Disclaimer
This indicator is an analytical tool and does not provide financial advice or guarantee future price movement.
Volume, footprint, value-area and regime information should be interpreted together with market context, liquidity, risk management and execution conditions.
Indicator

Indicator

XauLabs Swing PointsENGLISH
What it does
It marks confirmed swing highs and swing lows, labels each one relative to the previous one of the same type â HH, HL, LH, LL â and connects them with a zigzag. That labelled sequence is the raw material of every structure-based method: HH + HL is the skeleton of an uptrend, LH + LL the skeleton of a downtrend, anything mixed is no man's land.
How it works (full method)
Confirmation. A swing high is confirmed only when the highs of the N bars before AND the N bars after are all lower (mirrored for swing lows). N is user-defined, default 7, range 5â21.
Labelling. On confirmation, the new swing high is compared to the previous confirmed swing high: higher gives HH, lower gives LH. The first one, with no predecessor, is labelled H. Swing lows are compared to previous swing lows: HL or LL, first one labelled L. Highs are never compared to lows.
Zigzag. Each confirmed pivot is joined to the previous confirmed pivot by a straight line, regardless of type. The result is the chart's skeleton with the intermediate noise removed.
Two levels of structure. Major structure uses the main sensitivity and is the default view. An optional minor structure, with its own smaller sensitivity (default 3), plots the internal waves inside each major leg. It is off by default: the skeleton first, the ripples afterwards. Reading a minor swing as if it were a major one is the most common way to end up flipping bias several times a day.
No repainting
Labels appear N bars after the extreme they mark, are drawn at the true historical position of that extreme, and never move or disappear afterwards. What history shows is what would have been visible live. The confirmation delay is the cost, and it is stated rather than hidden.
On-chart output
HH / HL / LH / LL labels on every confirmed major pivot.
Zigzag connecting major pivots.
Optional minor pivot dots.
A badge in the top-right corner showing the two most recent readings, with selectable text size.
Two alert conditions: major swing high confirmed, major swing low confirmed.
Suggested use
Start on H4. Read the badge: HH · HL means the bullish skeleton is intact. Structure has to be read on one sensitivity, applied consistently â not on whichever swing supports the trade you already want to take.
This is an educational structure-reading tool. It gives no buy or sell signals and makes no performance claim. Trading involves substantial risk of loss.
FRANÃAIS
Ce que fait l'indicateur
Il marque les sommets et creux de swing confirmés, étiquette chacun par rapport au précédent du même type â HH, HL, LH, LL â et les relie par un zigzag. Cette séquence étiquetée est la matiÚre premiÚre de toute méthode structurelle : HH + HL forme le squelette d'une tendance haussiÚre, LH + LL celui d'une tendance baissiÚre, tout ce qui est mixte est une zone grise.
Comment il fonctionne (méthode complÚte)
Confirmation. Un sommet n'est confirmé que si les N bougies avant ET les N bougies aprÚs ont toutes un plus haut inférieur (symétrique pour les creux). N est réglable, 7 par défaut, plage 5â21.
Ãtiquetage. à la confirmation, le nouveau sommet est comparé au sommet confirmé précédent : plus haut donne HH, plus bas donne LH. Le premier, sans prédécesseur, est étiqueté H. Les creux sont comparés aux creux : HL ou LL, le premier étiqueté L. Un sommet n'est jamais comparé à un creux.
Zigzag. Chaque pivot confirmé est relié au pivot confirmé précédent par une droite, quel que soit son type. On obtient le squelette du graphique, débarrassé du bruit intermédiaire.
Deux niveaux de structure. La structure majeure utilise la sensibilité principale : c'est la vue par défaut. Une structure mineure optionnelle, avec sa propre sensibilité plus courte (3 par défaut), trace les vagues internes de chaque jambe majeure. Elle est désactivée par défaut : le squelette d'abord, les vagues ensuite. Lire un swing mineur comme s'il était majeur est la façon la plus courante de changer de biais cinq fois par jour.
Aucun repaint
Les étiquettes apparaissent N bougies aprÚs l'extrême qu'elles marquent, sont tracées à la vraie place historique de cet extrême, et ne bougent ni ne disparaissent ensuite. Ce que montre l'historique est ce qui aurait été visible en direct. Le délai de confirmation est le prix à payer, et il est affiché plutÎt que masqué.
Affichage
Ãtiquettes HH / HL / LH / LL sur chaque pivot majeur confirmé.
Zigzag reliant les pivots majeurs.
Points de pivots mineurs, optionnels.
Un badge dans le coin supérieur droit affichant les deux derniÚres lectures, avec taille de texte réglable.
Deux conditions d'alerte : sommet majeur confirmé, creux majeur confirmé.
Utilisation suggérée
Commencer en H4. Lire le badge : HH · HL signifie que le squelette haussier est intact. La structure se lit sur une seule sensibilité, appliquée avec constance â pas sur le swing qui arrange le trade qu'on a déjà envie de prendre.
Outil éducatif de lecture de structure. Il ne donne aucun signal d'achat ou de vente et ne formule aucune promesse de performance. Le trading comporte un risque de perte important. Indicator

Momentum Run & Fall Radar PROââââââââââââââââââââââââââââââââââââââââââââ
MOMENTUM RUN & FALL RADAR PRO
Version 2.1 â Responsive Dashboard
Beschreibung, Handhabung und Interpretation
DE-DE / EN-US
ââââââââââââââââââââââââââââââââââââââââââââ
============================================================
DE-DE
============================================================
INHALTSVERZEICHNIS
01. Ãberblick
02. Neuerungen in Version 2.1
03. Verwendete Faktoren
04. EMA-Farben und Trendstruktur
05. Bull Score und Bear Score
06. Bullische Signalstufen
07. BÀrische Signalstufen
08. âFehlt Bullâ und âFehlt Bearâ
09. RSI
10. MACD
11. DMI / ADX
12. Relatives Volumen
13. Relative StÀrke
14. Multi-Timeframe-Analyse
15. Widerstand und Support
16. ATR
17. RSI-Divergenzen
18. Retest
19. Dashboard-Modi: Desktop, Mobile und Minimal
20. Dashboard-Einstellungen
21. Empfohlene Verwendung und Zeitrahmen
22. Typischer bullischer Ablauf
23. Confirmed Mode und laufende Kerzen
24. Alarme
25. Statuszeile und kompakte Darstellung
26. Wichtiger Hinweis
âââââââââââââââââââââââââââââââââââââââââââ
01. ÃBERBLICK
âââââââââââââââââââââââââââââââââââââââââââ
Der Momentum Run & Fall Radar PRO ist ein kombinierter technischer
Analyseindikator zur frÃŒhzeitigen Erkennung von Momentum-Aufbau,
Trendwechseln, Breakouts, Breakdowns und zunehmender TrendstÀrke.
Anstatt einzelne Indikatoren getrennt voneinander zu betrachten,
fÃŒhrt der Radar mehrere technische Faktoren zu einem Bull Score und
Bear Score von jeweils 0 bis 100 Punkten zusammen.
Damit lÀsst sich schneller erkennen, ob sich ein AufwÀrts- oder
AbwÀrtstrend vorbereitet, ob ein Breakout oder Breakdown nÀher rÌckt,
ob eine Bewegung bereits bestÀtigt wurde oder ob bestehendes Momentum
an StÀrke verliert.
Der Indikator eignet sich besonders fÃŒr volatile Aktien und
Momentum-Titel, kann aber grundsÀtzlich auch fÌr andere liquide
Aktien, ETFs und MÀrkte eingesetzt werden.
âââââââââââââââââââââââââââââââââââââââââââ
02. NEUERUNGEN IN VERSION 2.1
âââââââââââââââââââââââââââââââââââââââââââ
Version 2.1 verbessert vor allem die Darstellung auf unterschiedlichen
GerÀten.
Neu hinzugekommen sind:
⢠Desktop-Dashboard fÃŒr groÃe Bildschirme
⢠Mobile-Dashboard fÌr Smartphone und Tablet
⢠Minimal-Dashboard fÌr möglichst viel freien Chartbereich
⢠frei wÀhlbare Dashboard-Position
⢠einstellbare Dashboard-TextgröÃe
⢠Dashboard-Sprache DE oder EN
⢠kompakter Indikatorname âRadar PROâ in der Statuszeile
⢠Input-Werte werden nicht mehr in der Statuszeile angezeigt
⢠EMA-, Support-, Widerstands- und BB-Werte werden aus der
Statuszeile ausgeblendet
⢠vollstÀndige ErklÀrung der Relative-StÀrke-Auswertung
Die grundlegende Analyse- und Scorelogik bleibt erhalten. Die
HauptÀnderungen betreffen Bedienbarkeit und Darstellung.
âââââââââââââââââââââââââââââââââââââââââââ
03. VERWENDETE FAKTOREN
âââââââââââââââââââââââââââââââââââââââââââ
Der Radar berÃŒcksichtigt unter anderem:
⢠EMA 9
⢠EMA 21
⢠EMA 50
⢠EMA 200
⢠EMA-Trend und EMA-Steigung
⢠frische EMA-Crossovers
⢠RSI 14 und RSI-Richtung
⢠MACD 12/26/9 und Histogramm-Entwicklung
⢠DMI / ADX
⢠relatives Handelsvolumen
⢠ATR
⢠20-Kerzen-Breakouts und Breakdowns
⢠Support- und Widerstandsbereiche
⢠Bollinger-Band-Squeeze
⢠RSI-Divergenzen
⢠Breakout-Retests
⢠Relative StÀrke gegenÌber einer Benchmark
⢠Multi-Timeframe-Analyse Ìber 4H, 1D und 1W
âââââââââââââââââââââââââââââââââââââââââââ
04. EMA-FARBEN UND TRENDSTRUKTUR
âââââââââââââââââââââââââââââââââââââââââââ
TÃŒrkis = EMA 9
Gelb = EMA 21
Orange = EMA 50
Lila = EMA 200
Eine vollstÀndig bullische Trendstruktur sieht beispielsweise so aus:
Kurs > EMA 9 > EMA 21 > EMA 50 > EMA 200
Eine vollstÀndig bÀrische Struktur entsprechend umgekehrt.
FÃŒr die FrÃŒherkennung ist besonders interessant, wenn EMA 9 und EMA 21
nach oben drehen und EMA 9 die EMA 21 von unten kreuzt.
âââââââââââââââââââââââââââââââââââââââââââ
05. BULL SCORE UND BEAR SCORE
âââââââââââââââââââââââââââââââââââââââââââ
Bull Score = technische StÀrke einer möglichen AufwÀrtsbewegung.
Bear Score = technischer AbwÀrtsdruck.
Orientierung:
⢠0â44 = kein klares Signal
⢠45â54 = WATCH / Beobachtungsphase
⢠55â64 = EARLY BULL bzw. EARLY BEAR
⢠65â74 = BULL SETUP bzw. BEAR WARNING
⢠75â84 = starke Bewegung / RUN- oder FALL-Bereich
⢠85â100 = sehr starke technische BestÀtigung
Wichtiger als ein einzelner Wert ist hÀufig die Entwicklung.
Beispiel:
45 â 54 â 61 â 69 â 77
Das zeigt, dass immer mehr technische Faktoren gleichzeitig bullisch
werden.
âââââââââââââââââââââââââââââââââââââââââââ
06. BULLISCHE SIGNALSTUFEN
âââââââââââââââââââââââââââââââââââââââââââ
WATCH
Erste positive Faktoren sind vorhanden.
EARLY BULL
FrÃŒhes bullisches Signal. Mehrere Faktoren beginnen sich positiv
auszurichten.
BULL SETUP
Der bullische Aufbau ist weiter fortgeschritten.
BREAKOUT
Ein relevanter Widerstand wurde ÃŒberschritten.
RUN
BestÀtigter bullischer Ausbruch mit ausreichend hohem Score,
Breakout und erhöhtem Handelsvolumen.
STRONG RUN
Sehr starke technische BestÀtigung mit hohem Score, starkem Volumen
und ausgeprÀgter TrendstÀrke.
âââââââââââââââââââââââââââââââââââââââââââ
07. BÃRISCHE SIGNALSTUFEN
âââââââââââââââââââââââââââââââââââââââââââ
CAUTION / WATCH
Erste Verschlechterungen werden sichtbar.
EARLY BEAR
FrÌhe Anzeichen zunehmenden AbwÀrtsmomentums.
BEAR WARNING
Mehrere negative Faktoren bestÀtigen sich gleichzeitig.
BREAKDOWN
Eine wichtige UnterstÃŒtzung wurde gebrochen.
FALL
BestÀtigte AbwÀrtsbewegung.
STRONG FALL
Sehr starke technische AbwÀrtsbewegung.
âââââââââââââââââââââââââââââââââââââââââââ
08. âFEHLT BULLâ UND âFEHLT BEARâ
âââââââââââââââââââââââââââââââââââââââââââ
âFehlt Bullâ zeigt, welche Kernbedingungen fÃŒr eine vollstÀndigere
bullische BestÀtigung noch fehlen.
AbkÃŒrzungen:
⢠EMA = bullische EMA-Struktur fehlt
⢠RSI = RSI-BestÀtigung fehlt
⢠MACD = MACD-BestÀtigung fehlt
⢠ADX = DMI / TrendstÀrke fehlt
⢠VOL = ausreichendes bullisches Volumen fehlt
⢠BO = bestÀtigter Breakout fehlt
⢠MTF = Multi-Timeframe-BestÀtigung fehlt
⢠RS = Relative StÀrke fehlt
Beispiel:
Fehlt Bull: VOL BO
Dann sind viele Bedingungen bereits erfÌllt; hauptsÀchlich fehlen
Volumen und Breakout.
âFehlt Bearâ funktioniert entsprechend.
BD = bestÀtigter Breakdown fehlt.
âââââââââââââââââââââââââââââââââââââââââââ
09. RSI
âââââââââââââââââââââââââââââââââââââââââââ
⢠unter 45 = eher bÀrisch
⢠45â55 = neutral
⢠Ìber 55 = bullisch
⢠60â70 = starkes Momentum
⢠Ìber 70 = starkes bzw. Ìberkauftes Momentum
â = RSI verbessert sich
â = RSI schwÀcht sich ab
Ein RSI ÃŒber 70 bedeutet nicht automatisch, dass der Kurs fallen muss.
âââââââââââââââââââââââââââââââââââââââââââ
10. MACD
âââââââââââââââââââââââââââââââââââââââââââ
BULLISH / BULL
Der MACD unterstÌtzt die AufwÀrtsbewegung.
BEARISH / BEAR
Negative Momentumstruktur.
Besonders interessant sind ÃbergÀnge zwischen BEAR und BULL.
âââââââââââââââââââââââââââââââââââââââââââ
11. DMI / ADX
âââââââââââââââââââââââââââââââââââââââââââ
+DI vorne = bullische Richtung
-DI vorne = bÀrische Richtung
ADX:
⢠unter 15 = schwacher Trend
⢠15â20 = Trend beginnt
⢠20â25 = zunehmend relevant
⢠Ìber 25 = starker Trend
⢠Ìber 30 = sehr starker Trend
Besonders interessant fÌr einen frÌhen AufwÀrtstrend:
+DI vorne + steigender ADX durch 20â25.
âââââââââââââââââââââââââââââââââââââââââââ
12. RELATIVES VOLUMEN
âââââââââââââââââââââââââââââââââââââââââââ
1,00x = durchschnittliches Volumen
1,20x = erhöhtes Interesse
1,50x = starkes Volumen
2,00x+ = sehr starke AktivitÀt
Ein Breakout mit hohem Volumen ist normalerweise stÀrker bestÀtigt
als ein Breakout bei schwachem Volumen.
Bei einer noch laufenden Kerze kann der Wert zunÀchst niedrig sein.
âââââââââââââââââââââââââââââââââââââââââââ
13. RELATIVE STÃRKE
âââââââââââââââââââââââââââââââââââââââââââ
Die Relative StÀrke vergleicht die Kursentwicklung mit einer
Benchmark.
StandardmÀÃig:
NASDAQ:QQQ
Mögliche Anzeigen:
STARK BULL / STRONG BULL
Die Aktie entwickelt sich stÀrker als die Benchmark und die relative
StÀrke nimmt weiter zu.
BULL
Die Aktie entwickelt sich besser als die Benchmark.
BEAR
Die Aktie entwickelt sich schwÀcher.
STARK BEAR / STRONG BEAR
Die relative SchwÀche nimmt weiter zu.
AUS / N/A
Die Auswertung ist deaktiviert oder nicht verfÃŒgbar.
Beispiel:
Aktie +3 %, Benchmark +5 %
â relative SchwÀche
Aktie +3 %, Benchmark 0 % oder negativ
â relative StÀrke
âââââââââââââââââââââââââââââââââââââââââââ
14. MULTI-TIMEFRAME-ANALYSE
âââââââââââââââââââââââââââââââââââââââââââ
Standard:
240 = 4 Stunden
D = Tageschart
W = Wochenchart
Desktop:
240 BULL | D BULL | W NEUTRAL
Mobile:
4Hâ Dâ Wâ
â = bullisch
â = bÀrisch
â = neutral
âââââââââââââââââââââââââââââââââââââââââââ
15. WIDERSTAND UND SUPPORT
âââââââââââââââââââââââââââââââââââââââââââ
Widerstand = technisch relevanter Bereich oberhalb des Kurses.
Support = technisch relevanter Bereich unterhalb des Kurses.
Ein Kurs direkt unter dem Widerstand ist noch kein Breakout.
StÀrkere BestÀtigung entsteht durch:
⢠Ãberschreiten des Widerstands
⢠Kerzenschluss möglichst darÌber
⢠zunehmendes Volumen
⢠bullische Momentumfaktoren
âââââââââââââââââââââââââââââââââââââââââââ
16. ATR
âââââââââââââââââââââââââââââââââââââââââââ
ATR misst die aktuelle Schwankungsbreite.
Der Radar verwendet ATR zusÀtzlich als Breakout-Puffer, damit ein
minimales Ãberschreiten eines Widerstands nicht sofort als bestÀtigter
Breakout gewertet wird.
âââââââââââââââââââââââââââââââââââââââââââ
17. RSI-DIVERGENZEN
âââââââââââââââââââââââââââââââââââââââââââ
BULLISH
Kurs bildet ein schwÀcheres Tief, wÀhrend RSI relative StÀrke zeigt.
BEARISH
Kurs bildet ein höheres Hoch, wÀhrend RSI dieses Hoch nicht bestÀtigt.
Divergenzen sind FrÃŒhwarnsignale.
âââââââââââââââââââââââââââââââââââââââââââ
18. RETEST
âââââââââââââââââââââââââââââââââââââââââââ
Typischer Ablauf:
Widerstand
â Breakout
â RÃŒcklauf
â alter Widerstand hÀlt als Support
â RETEST
Ein erfolgreicher Retest kann einen vorherigen Breakout zusÀtzlich
bestÀtigen.
âââââââââââââââââââââââââââââââââââââââââââ
19. DASHBOARD-MODI: DESKTOP, MOBILE UND MINIMAL
âââââââââââââââââââââââââââââââââââââââââââ
DESKTOP
VollstÀndige Anzeige mit:
⢠Status
⢠Bull / Bear Score
⢠EMA 9 / 21 / 50 / 200
⢠RSI
⢠MACD
⢠DMI / ADX
⢠Volumen
⢠BB Squeeze
⢠MTF
⢠Relative StÀrke
⢠Widerstand / Support
⢠ATR
⢠Divergenz
⢠Fehlt Bull / Bear
Empfohlen fÃŒr PC und Notebook.
MOBILE
Kompakte Anzeige mit:
⢠Gesamtstatus
⢠Bull / Bear Score
⢠EMA-Trend
⢠RSI
⢠MACD
⢠DMI / ADX
⢠Volumen
⢠kompaktes MTF
⢠Relative StÀrke
⢠Widerstand / Support
⢠Fehlt Bull / Bear
Empfohlen fÃŒr Smartphone und kleinere Tablets.
MINIMAL
Zeigt nur:
⢠Gesamtstatus
⢠Bull / Bear
⢠RSI / ADX
⢠MACD / Volumen
⢠MTF / Relative StÀrke
⢠wichtigste fehlende Bedingungen
Empfohlen bei sehr wenig BildschirmflÀche.
âââââââââââââââââââââââââââââââââââââââââââ
20. DASHBOARD-EINSTELLUNGEN
âââââââââââââââââââââââââââââââââââââââââââ
Unter â13. Dashboardâ:
Dashboard anzeigen
Ein / Aus
Dashboard-Modus
⢠Desktop
⢠Mobile
⢠Minimal
Dashboard-Sprache
⢠DE
⢠EN
Dashboard-Position
⢠Top Right
⢠Middle Right
⢠Bottom Right
⢠Top Left
⢠Middle Left
⢠Bottom Left
Dashboard-TextgröÃe
⢠Auto
⢠Tiny
⢠Small
⢠Normal
Empfehlung:
Desktop:
Desktop + Auto/Small
Smartphone:
Mobile + Auto
Sehr kleines Display:
Minimal + Auto/Tiny
âââââââââââââââââââââââââââââââââââââââââââ
21. EMPFOHLENE VERWENDUNG UND ZEITRAHMEN
âââââââââââââââââââââââââââââââââââââââââââ
1H
Hauptanzeige fÃŒr frÃŒhe Momentum-Signale.
4H
TrendbestÀtigung.
1D
Mittelfristige BestÀtigung.
1W
Langfristige Einordnung.
15 Minuten
Kann fÃŒr genaueres Timing genutzt werden, nachdem 1H/4H bereits ein
brauchbares Setup zeigen.
1 und 5 Minuten
Enthalten deutlich mehr Marktrauschen.
âââââââââââââââââââââââââââââââââââââââââââ
22. TYPISCHER BULLISCHER ABLAUF
âââââââââââââââââââââââââââââââââââââââââââ
WATCH
â
EARLY BULL
â
Bull Score steigt
â
EMA 9 / EMA 21 drehen nach oben
â
RSI steigt ÃŒber 55
â
MACD wird bullisch
â
+DI ÃŒbernimmt
â
ADX steigt
â
BULL SETUP
â
Fehlt Bull wird kÃŒrzer
â
z. B. nur noch VOL BO
â
Widerstand wird gebrochen
â
Volumen steigt
â
BREAKOUT
â
RUN
â
STRONG RUN
âââââââââââââââââââââââââââââââââââââââââââ
23. CONFIRMED MODE UND LAUFENDE KERZEN
âââââââââââââââââââââââââââââââââââââââââââ
StandardmÀÃig werden neue Signal-Labels erst bei Kerzenschluss
bestÀtigt.
Dashboardwerte können sich wÀhrend der laufenden Kerze trotzdem
verÀndern.
FÃŒr wichtige Entscheidungen sollte deshalb der Kerzenschluss
berÃŒcksichtigt werden.
âââââââââââââââââââââââââââââââââââââââââââ
24. ALARME
âââââââââââââââââââââââââââââââââââââââââââ
VerfÃŒgbare Alarmbedingungen:
⢠Early Bull
⢠Bull Setup
⢠RUN
⢠STRONG RUN
⢠Early Bear
⢠Bear Warning
⢠FALL
⢠STRONG FALL
⢠Bull Retest
⢠Bear Retest
⢠Bullische RSI-Divergenz
⢠BÀrische RSI-Divergenz
âââââââââââââââââââââââââââââââââââââââââââ
25. STATUSZEILE UND KOMPAKTE DARSTELLUNG
âââââââââââââââââââââââââââââââââââââââââââ
Version 2.1 blendet die langen Input- und Plotwerte aus der
PulseWire-Statuszeile aus.
Statt:
9 21 50 200 3 5 14 55 ...
wird primÀr der kurze Name angezeigt:
Radar PRO
Die Einstellungen bleiben im Indikator-MenÌ vollstÀndig verfÌgbar.
âââââââââââââââââââââââââââââââââââââââââââ
26. WICHTIGER HINWEIS
âââââââââââââââââââââââââââââââââââââââââââ
Der Momentum Run & Fall Radar PRO ist ein Werkzeug zur technischen
Marktanalyse und kann zukÃŒnftige Kursbewegungen nicht sicher
vorhersagen.
Der Indikator stellt keine Anlageberatung und keine automatische
Kauf- oder Verkaufsempfehlung dar.
ZusÀtzlich berÌcksichtigt werden sollten unter anderem:
⢠persönliches Risikoprofil
⢠PositionsgröÃe
⢠fundamentale Unternehmensdaten
⢠Nachrichten und Ereignisse
⢠Quartalszahlen
⢠LiquiditÀt
⢠allgemeine Marktsituation
============================================================
EN-US
============================================================
TABLE OF CONTENTS
01. Overview
02. Whatâs New in Version 2.1
03. Included Factors
04. EMA Colors and Trend Structure
05. Bull Score and Bear Score
06. Bullish Signal Stages
07. Bearish Signal Stages
08. Missing Bull and Missing Bear
09. RSI
10. MACD
11. DMI / ADX
12. Relative Volume
13. Relative Strength
14. Multi-Timeframe Analysis
15. Resistance and Support
16. ATR
17. RSI Divergence
18. Retest
19. Dashboard Modes: Desktop, Mobile and Minimal
20. Dashboard Settings
21. Recommended Use and Timeframes
22. Typical Bullish Development
23. Confirmed Mode and Open Candles
24. Alerts
25. Status Line and Compact Display
26. Important Notice
âââââââââââââââââââââââââââââââââââââââââââ
01. OVERVIEW
âââââââââââââââââââââââââââââââââââââââââââ
Momentum Run & Fall Radar PRO is a multi-factor technical analysis
indicator designed to identify early momentum development, trend
changes, breakouts, breakdowns and increasing trend strength.
It combines multiple technical factors into a Bull Score and Bear
Score ranging from 0 to 100.
âââââââââââââââââââââââââââââââââââââââââââ
02. WHATâS NEW IN VERSION 2.1
âââââââââââââââââââââââââââââââââââââââââââ
New features:
⢠Desktop dashboard
⢠Mobile dashboard
⢠Minimal dashboard
⢠selectable dashboard position
⢠adjustable text size
⢠DE / EN dashboard language
⢠compact âRadar PROâ status-line title
⢠input values hidden from the status line
⢠EMA, support, resistance and Bollinger values hidden from the
status line
⢠expanded Relative Strength documentation
âââââââââââââââââââââââââââââââââââââââââââ
03. INCLUDED FACTORS
âââââââââââââââââââââââââââââââââââââââââââ
⢠EMA 9 / 21 / 50 / 200
⢠EMA trend and slope
⢠recent EMA crossovers
⢠RSI 14
⢠MACD 12/26/9
⢠DMI / ADX
⢠relative volume
⢠ATR
⢠20-bar breakouts and breakdowns
⢠support and resistance
⢠Bollinger Band squeeze
⢠RSI divergences
⢠breakout retests
⢠Relative Strength versus a benchmark
⢠4H / 1D / 1W Multi-Timeframe analysis
âââââââââââââââââââââââââââââââââââââââââââ
04. EMA COLORS AND TREND STRUCTURE
âââââââââââââââââââââââââââââââââââââââââââ
Cyan = EMA 9
Yellow = EMA 21
Orange = EMA 50
Purple = EMA 200
Bullish structure:
Price > EMA 9 > EMA 21 > EMA 50 > EMA 200
âââââââââââââââââââââââââââââââââââââââââââ
05. BULL SCORE AND BEAR SCORE
âââââââââââââââââââââââââââââââââââââââââââ
⢠0â44 = no clear signal
⢠45â54 = WATCH
⢠55â64 = EARLY BULL / EARLY BEAR
⢠65â74 = BULL SETUP / BEAR WARNING
⢠75â84 = RUN / FALL territory
⢠85â100 = very strong confirmation
The direction of the score is often more important than one isolated
reading.
âââââââââââââââââââââââââââââââââââââââââââ
06. BULLISH SIGNAL STAGES
âââââââââââââââââââââââââââââââââââââââââââ
WATCH
Early positive conditions.
EARLY BULL
Early bullish momentum is developing.
BULL SETUP
The bullish structure is becoming more established.
BREAKOUT
Price moves above relevant resistance.
RUN
Confirmed bullish move with score, breakout and volume confirmation.
STRONG RUN
Very strong bullish confirmation.
âââââââââââââââââââââââââââââââââââââââââââ
07. BEARISH SIGNAL STAGES
âââââââââââââââââââââââââââââââââââââââââââ
CAUTION / WATCH
Early deterioration.
EARLY BEAR
Early downside momentum.
BEAR WARNING
Several bearish factors align.
BREAKDOWN
Support is broken.
FALL
Confirmed bearish move.
STRONG FALL
Very strong bearish trend.
âââââââââââââââââââââââââââââââââââââââââââ
08. MISSING BULL AND MISSING BEAR
âââââââââââââââââââââââââââââââââââââââââââ
EMA = EMA structure missing
RSI = RSI confirmation missing
MACD = MACD confirmation missing
ADX = DMI / trend strength missing
VOL = sufficient volume missing
BO = breakout missing
MTF = multi-timeframe confirmation missing
RS = Relative Strength missing
Example:
Missing Bull: VOL BO
Most bullish core conditions are already in place; volume and a
confirmed breakout remain missing.
BD = breakdown missing.
âââââââââââââââââââââââââââââââââââââââââââ
09. RSI
âââââââââââââââââââââââââââââââââââââââââââ
⢠below 45 = bearish
⢠45â55 = neutral
⢠above 55 = bullish
⢠60â70 = strong momentum
⢠above 70 = strong / overbought momentum
â = strengthening
â = weakening
âââââââââââââââââââââââââââââââââââââââââââ
10. MACD
âââââââââââââââââââââââââââââââââââââââââââ
BULL / BULLISH = positive momentum structure.
BEAR / BEARISH = negative momentum structure.
âââââââââââââââââââââââââââââââââââââââââââ
11. DMI / ADX
âââââââââââââââââââââââââââââââââââââââââââ
+DI leading = bullish direction
-DI leading = bearish direction
ADX:
⢠below 15 = weak trend
⢠15â20 = trend beginning
⢠20â25 = increasingly relevant
⢠above 25 = strong trend
⢠above 30 = very strong trend
âââââââââââââââââââââââââââââââââââââââââââ
12. RELATIVE VOLUME
âââââââââââââââââââââââââââââââââââââââââââ
1.00x = average volume
1.20x = increased activity
1.50x = strong volume
2.00x+ = very strong participation
âââââââââââââââââââââââââââââââââââââââââââ
13. RELATIVE STRENGTH
âââââââââââââââââââââââââââââââââââââââââââ
Default benchmark:
NASDAQ:QQQ
STRONG BULL
The instrument is outperforming the benchmark and relative strength
is improving.
BULL
Outperforming the benchmark.
BEAR
Underperforming the benchmark.
STRONG BEAR
Relative weakness is increasing.
OFF / N/A
Relative Strength analysis is disabled or unavailable.
âââââââââââââââââââââââââââââââââââââââââââ
14. MULTI-TIMEFRAME ANALYSIS
âââââââââââââââââââââââââââââââââââââââââââ
Default:
240 = 4-hour
D = Daily
W = Weekly
Desktop:
240 BULL | D BULL | W NEUTRAL
Mobile:
4Hâ Dâ Wâ
â = bullish
â = bearish
â = neutral
âââââââââââââââââââââââââââââââââââââââââââ
15. RESISTANCE AND SUPPORT
âââââââââââââââââââââââââââââââââââââââââââ
Resistance is a technically relevant level above price.
Support is a technically relevant level below price.
A stronger breakout is usually supported by a candle close above
resistance and increasing volume.
âââââââââââââââââââââââââââââââââââââââââââ
16. ATR
âââââââââââââââââââââââââââââââââââââââââââ
ATR measures current trading range and volatility.
The radar uses ATR as an additional breakout buffer to reduce minor
false breakouts.
âââââââââââââââââââââââââââââââââââââââââââ
17. RSI DIVERGENCE
âââââââââââââââââââââââââââââââââââââââââââ
BULLISH
Price forms a weaker low while RSI improves.
BEARISH
Price forms a higher high while RSI fails to confirm it.
âââââââââââââââââââââââââââââââââââââââââââ
18. RETEST
âââââââââââââââââââââââââââââââââââââââââââ
Resistance
â Breakout
â Pullback
â Previous resistance holds as support
â RETEST
âââââââââââââââââââââââââââââââââââââââââââ
19. DASHBOARD MODES
âââââââââââââââââââââââââââââââââââââââââââ
DESKTOP
Full analysis for PCs and notebooks.
MOBILE
Compact analysis for smartphones and smaller tablets.
MINIMAL
Core information only for maximum chart space.
âââââââââââââââââââââââââââââââââââââââââââ
20. DASHBOARD SETTINGS
âââââââââââââââââââââââââââââââââââââââââââ
Dashboard Mode:
⢠Desktop
⢠Mobile
⢠Minimal
Language:
⢠DE
⢠EN
Position:
⢠Top Right
⢠Middle Right
⢠Bottom Right
⢠Top Left
⢠Middle Left
⢠Bottom Left
Text Size:
⢠Auto
⢠Tiny
⢠Small
⢠Normal
âââââââââââââââââââââââââââââââââââââââââââ
21. RECOMMENDED USE AND TIMEFRAMES
âââââââââââââââââââââââââââââââââââââââââââ
1H
Main timeframe for early momentum detection.
4H
Trend confirmation.
1D
Medium-term confirmation.
1W
Long-term context.
15 minutes
More precise timing after a valid higher-timeframe setup.
1-minute and 5-minute charts
Contain significantly more market noise.
âââââââââââââââââââââââââââââââââââââââââââ
22. TYPICAL BULLISH DEVELOPMENT
âââââââââââââââââââââââââââââââââââââââââââ
WATCH
â
EARLY BULL
â
Bull Score rises
â
EMA 9 / EMA 21 turn higher
â
RSI > 55
â
MACD turns bullish
â
+DI takes control
â
ADX rises
â
BULL SETUP
â
Missing Bull list becomes shorter
â
Breakout
â
RUN
â
STRONG RUN
âââââââââââââââââââââââââââââââââââââââââââ
23. CONFIRMED MODE AND OPEN CANDLES
âââââââââââââââââââââââââââââââââââââââââââ
Signal labels are confirmed at candle close by default.
Dashboard values may still change while the current candle is open.
âââââââââââââââââââââââââââââââââââââââââââ
24. ALERTS
âââââââââââââââââââââââââââââââââââââââââââ
Available alert conditions include:
⢠Early Bull
⢠Bull Setup
⢠RUN
⢠STRONG RUN
⢠Early Bear
⢠Bear Warning
⢠FALL
⢠STRONG FALL
⢠Bull Retest
⢠Bear Retest
⢠Bullish RSI Divergence
⢠Bearish RSI Divergence
âââââââââââââââââââââââââââââââââââââââââââ
25. STATUS LINE AND COMPACT DISPLAY
âââââââââââââââââââââââââââââââââââââââââââ
Version 2.1 removes long input and plot values from the PulseWire
status line.
The compact title is:
Radar PRO
All inputs remain available in the indicator settings.
âââââââââââââââââââââââââââââââââââââââââââ
26. IMPORTANT NOTICE
âââââââââââââââââââââââââââââââââââââââââââ
Momentum Run & Fall Radar PRO is a technical market analysis tool and
cannot reliably predict future price movements.
It does not constitute investment advice or an automatic buy or sell
recommendation.
Indicator

Indicator
