52SIGNAL RECIPE Directional Consistency Index═══ 52SIGNAL RECIPE Directional Consistency Index (DCI) ═══
◆ Overview
52SIGNAL Directional Consistency Index (DCI) is a technical indicator that measures the directional consistency of market movements. This indicator focuses on the consistency of direction rather than the magnitude of price changes, analyzing the strength of market trends and providing more reliable trend analysis by filtering out noise to reflect only meaningful price movements.
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◆ Key Features
• Direction-Focused Analysis: Concentrates solely on directional consistency rather than magnitude of price changes
• Noise Filtering: Ignores insignificant price movements through minimum percentage change settings
• Trend Exhaustion Detection: Identifies potential trend reversals as values approach ±0.5 levels
• Intuitive Visualization: Instant recognition of trend direction through color changes based on rising/falling zones
• Multi-Market Application: Adaptable to various financial markets including stocks, cryptocurrencies, and forex
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◆ Technical Foundation
■ Directional Calculation
• Basic Principle: Counts only the up/down movement of each candle to measure directional consistency
• Calculation Method: Determines direction based on percentage change between current close and previous close
• Direction Values: Simplified into Rising (+1), Falling (-1), or Insignificant Change (0)
• Averaging: DCI calculated as the moving average of direction values over the specified period
■ Noise Filtering Mechanism
• Minimum Percentage Change: The minimum percent change required to consider a price movement significant
• Filtering Effect: Movements smaller than the minimum change are excluded from direction calculation (treated as 0)
• Enhanced Reliability: Adjustable filtering strength for optimization across different market environments
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◆ Practical Applications
■ Trend Identification & Reversal Prediction
• Early Uptrend Detection:
▶ When DCI enters the 0 to +0.3 range
▶ When recent directional consistency begins to consistently rise
• Early Downtrend Detection:
▶ When DCI enters the 0 to -0.3 range
▶ When recent directional consistency begins to consistently fall
• Trend Reversal Signals:
▶ When DCI approaches +0.5 (uptrend exhaustion, potential downward reversal)
▶ When DCI approaches -0.5 (downtrend exhaustion, potential upward reversal)
■ Trading Strategy Implementation
• Trend Following Strategies:
▶ Consider buying when DCI crosses above the 0 line
▶ Consider selling when DCI crosses below the 0 line
• Reversal Trading:
▶ Consider taking profits or short positions when DCI approaches +0.5
▶ Consider long positions when DCI approaches -0.5
• Divergence Confirmation:
▶ Weakening uptrend signal when price rises but DCI weakens
▶ Weakening downtrend signal when price falls but DCI strengthens
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◆ Advanced Setting Options
■ Period (Length) Settings
• Short-term Analysis: 5-10 days (faster signals, more sensitive responses)
• Medium-term Analysis: 10-20 days (balanced signals, recommended default)
• Long-term Analysis: 20-30 days (slower signals, long-term trend identification)
■ Minimum Percentage Change Settings
• Low Volatility Markets: 0.05-0.2% (suitable for forex markets)
• Medium Volatility Markets: 0.3-0.5% (suitable for stock markets)
• High Volatility Markets: 0.5-1.0% (suitable for cryptocurrency markets)
■ Settings by Trading Style
• Scalping: Lower period (5-10), lower minimum change (0.05-0.1%)
• Day Trading: Medium period (10-15), medium minimum change (0.2-0.3%)
• Swing Trading: Higher period (15-25), higher minimum change (0.3-0.5%)
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◆ Synergy with Other Indicators
• Moving Averages: Strengthen signals by confirming moving average crossovers when DCI crosses the 0 line
• RSI: Combine DCI trend direction with RSI overbought/oversold levels to confirm entry points
• MACD: Enhance reliability by pairing DCI directional signals with MACD momentum confirmation
• Bollinger Bands: Analyze volatility by checking Bollinger Band expansion/contraction when DCI approaches ±0.5
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◆ Conclusion
52SIGNAL Directional Consistency Index (DCI) is a powerful tool for objectively measuring market directionality and visualizing trend strength. The noise filtering through minimum percentage change settings can be adjusted to match your trading style and market characteristics for optimal results. Its ability to identify early trend stages and detect overextended zones provides traders with important entry and exit points. When used in conjunction with other technical indicators, it can significantly enhance the reliability of trading decisions.
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※ Disclaimer: Past performance does not guarantee future results. Always use appropriate risk management strategies.
═══ 52SIGNAL 방향성 일관성 지수 (DCI) ═══
◆ 개요
52SIGNAL 방향성 일관성 지수(DCI)는 시장의 방향성 일관성을 측정하는 기술적 지표입니다. 이 지표는 가격 변화의 크기가 아닌 방향의 일관성에 중점을 두어 시장의 추세 강도를 분석하고, 노이즈 필터링 기능을 통해 의미 있는 가격 변동만을 반영하여 더 신뢰할 수 있는 추세 분석을 제공합니다.
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◆ 주요 특징
• 방향성 중심 분석: 가격 변화의 크기가 아닌 방향성에만 집중하여 추세의 일관성 측정
• 노이즈 필터링: 최소 변화율 설정을 통해 의미 없는 작은 가격 변동을 무시
• 추세 과열 감지: ±0.5 수준에 접근할 때 추세 전환 가능성 식별
• 직관적인 시각화: 상승/하락 구간에 따른 색상 변화로 추세 방향 즉각 인식
• 다양한 시장 적용: 주식, 암호화폐, 외환 등 다양한 금융 시장에 적용 가능
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◆ 기술적 기반
■ 방향성 계산
• 기본 원리: 각 캔들의 상승/하락 여부만 카운트하여 방향의 일관성 측정
• 계산 방법: 현재 종가와 이전 종가의 퍼센트 변화를 기준으로 방향 판단
• 방향 값: 상승(+1), 하락(-1), 의미 없는 변화(0)로 단순화
• 평균화: 설정된 기간 동안의 방향 값의 이동평균으로 DCI 산출
■ 노이즈 필터링 메커니즘
• 최소 변화율: 의미 있는 가격 변동으로 인정할 최소 퍼센트 변화
• 필터링 효과: 최소 변화율보다 작은 변동은 방향 계산에서 제외(0으로 처리)
• 신뢰도 향상: 필터링 강도 조절을 통해 다양한 시장 환경에 최적화 가능
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◆ 실용적 응용
■ 추세 식별 및 전환점 예측
• 상승 추세 초입:
▶ DCI가 0에서 +0.3 사이로 진입할 때
▶ 최근 방향성이 일관되게 상승하기 시작할 때
• 하락 추세 초입:
▶ DCI가 0에서 -0.3 사이로 진입할 때
▶ 최근 방향성이 일관되게 하락하기 시작할 때
• 추세 전환 신호:
▶ DCI가 +0.5에 가까워질 때 (상승 추세 과열, 하락 전환 가능성)
▶ DCI가 -0.5에 가까워질 때 (하락 추세 과열, 상승 전환 가능성)
■ 트레이딩 전략 적용
• 추세 추종 전략:
▶ DCI가 0선을 위로 돌파할 때 매수 고려
▶ DCI가 0선을 아래로 돌파할 때 매도 고려
• 반전 트레이딩:
▶ DCI가 +0.5에 근접할 때 이익실현 또는 매도 포지션 고려
▶ DCI가 -0.5에 근접할 때 매수 포지션 고려
• 다이버전스 확인:
▶ 가격은 상승하나 DCI가 약화될 때 상승 추세 약화 신호
▶ 가격은 하락하나 DCI가 강화될 때 하락 추세 약화 신호
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◆ 고급 설정 옵션
■ 기간(Length) 설정
• 단기 분석: 5-10일 (빠른 신호, 민감한 반응)
• 중기 분석: 10-20일 (균형 잡힌 신호, 기본 권장)
• 장기 분석: 20-30일 (느린 신호, 장기 추세 식별)
■ 최소 변화율(Minimum % Change) 설정
• 저변동성 시장: 0.05-0.2% (외환 시장에 적합)
• 중변동성 시장: 0.3-0.5% (주식 시장에 적합)
• 고변동성 시장: 0.5-1.0% (암호화폐 시장에 적합)
■ 트레이딩 스타일별 설정
• 스캘핑: 낮은 기간(5-10), 낮은 최소 변화율(0.05-0.1%)
• 데이 트레이딩: 중간 기간(10-15), 중간 최소 변화율(0.2-0.3%)
• 스윙 트레이딩: 높은 기간(15-25), 높은 최소 변화율(0.3-0.5%)
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◆ 다른 지표와의 시너지
• 이동평균선: DCI가 0선을 돌파할 때 이동평균 교차 확인으로 신호 강화
• RSI: DCI의 추세 방향과 RSI의 과매수/과매도 수준을 결합하여 진입점 확인
• MACD: DCI의 방향성 신호와 MACD의 모멘텀 확인을 결합하여 신뢰도 향상
• 볼린저 밴드: DCI가 ±0.5에 근접할 때 볼린저 밴드 확장/수축 확인으로 변동성 분석
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◆ 결론
52SIGNAL 방향성 일관성 지수(DCI)는 시장의 방향성을 객관적으로 측정하고 추세의 강도를 시각화하는 강력한 도구입니다. 최소 변화율 설정을 통한 노이즈 필터링은 각자의 트레이딩 성향과 시장 특성에 맞게 조정할 수 있어 최적의 효과를 누릴 수 있습니다. 추세의 초기 단계를 식별하고 과열 구간을 감지하는 능력은 트레이더에게 중요한 진입 및 퇴출 포인트를 제공합니다. 다른 기술적 지표와 함께 사용하면 트레이딩 결정의 신뢰도를 크게 향상시킬 수 있습니다.
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※ 면책 조항: 과거 성과가 미래 결과를 보장하지 않습니다. 항상 적절한 리스크 관리 전략을 사용하세요.
M-oscillator
Flipper🔍 Flipper Indicator Precision Meets Performance
Flipper is a high-accuracy trading indicator designed for traders who demand precision. Backtested across multiple markets, it integrates a unique combination of:
✅ Built on a Proven 6-Year Strategy
✅ High-Confirmation Logic with Exceptional Win Rate
✅ Trend & Reversal Filters
✅ Live Buy/Sell Signals
✅ Performance Statistics & Alerts
✅ Multi-Timeframe Compatibility
Whether you're trading crypto, forex, commodities, or indices, Fliper adapts to all conditions with seamless accuracy.
Fliper isn’t just about signals – it’s about smarter entries, cleaner exits, and real-time confidence.
Join the movement. Trade with Fliper.
👉 Check our website flipbot.trade for more info and other services.
WEBSITE : flipbot.trade
Market Strenght PRO by javicdc
💥 Market Strength PRO by javicdc
Who's dominating the market right now?
This indicator gives you the answer in real time using a custom system to measure buying and selling pressure, filtered by EMA 200 and RSI 14 to highlight only the most reliable market moments.
✅ What does this indicator offer?
🔹 Dynamic calculation of market strength based on volume and candle body size
🔹 Visual zones in green or red based on buyer/seller dominance
🔹 Top diagnostic label with clear readings:
🟢 Extreme Buy – ✅ Buyer Dominance – 🔻 Seller Dominance – 🔴 Extreme Sell
🔹 Dynamic background that adjusts with the real market strength
🔹 Smart filter mode: only displays values when trend confirmation is valid (via RSI & EMA200)
🔹 Customizable: choose between SMA or EMA smoothing and toggle filter mode on/off
🧪 How to interpret it?
Strength > 50 → strong buying pressure
Strength < -50 → strong selling pressure
Between -20 and +20 → neutral or indecision zone
The filters ensure signals only appear with true trend confirmation, reducing false positives.
📈 Ideal for:
Scalping, intraday or swing trading across all assets: Forex, crypto, indices or stocks.
Works on all timeframes.
📌 Created by Javier Carrasco (@javicdc) — if you find it useful, don’t forget to like and follow for more technical analysis tools.
zero lag G-FRAMABitcoin Trading Strategy Overview
This strategy leverages the FRAMA (Fractal Adaptive Moving Average) and SD Zero Lag indicators to provide investors with a highly profitable yet conservative Bitcoin system. The approach emphasizes capital preservation, keeping funds out of the market most of the time, and entering only to capture the largest and most favorable moves.
Key Features:
Dual Indicator Confirmation:
A buy signal is triggered when either FRAMA or SD Zero Lag indicates an entry.
A sell signal is only triggered when both indicators signal an exit.
Risk-Averse Philosophy:
Prioritizes being out of the market during uncertain periods.
Focuses on high-conviction trades rather than constant exposure.
This method is designed for traders who prefer strong directional moves over frequent trades, minimizing market noise and maximizing opportunity clarity.
Ninja Indicator by Simhadri # Ninja Indicator by Simhadri (NISS) - Description
## Overview
The Ninja Indicator System by Simhadri (NISS) is a sophisticated momentum oscillator designed to identify trend changes and generate trading signals. This indicator combines multiple exponential moving averages (EMAs) to create a smooth, responsive oscillator that helps traders identify bullish and bearish market conditions.
## Key Features
### Dual Mode Operation
- **Ninja Mode**: Uses 6 fast EMAs (3, 5, 8, 10, 12, 15 periods) and 6 slow EMAs (30, 35, 40, 45, 50, 60 periods)
- **Super Ninja Mode**: Enhanced version with 11 fast EMAs (3-23 periods) and 16 slow EMAs (25-70 periods) for increased sensitivity
### Core Components
1. **NISS Fast Line**: Average of multiple short-term EMAs representing recent price action
2. **NISS Slow Line**: Average of multiple long-term EMAs representing the underlying trend
3. **NISS Oscillator**: Percentage difference between fast and slow lines, smoothed for clarity
4. **Signal Line**: EMA of the raw oscillator for generating crossover signals
### Visual Elements
- **Oscillator Line**: Changes color based on position relative to signal line (Blue above, Fuchsia below)
- **Signal Line**: White line for crossover reference
- **Neutral Zone**: Highlighted area between +0.20 and -0.20 levels
- **Reference Lines**: Horizontal lines at +0.20 and -0.20 for overbought/oversold conditions
## Input Parameters
### Timeframe Settings
- **Alternate Anchor TimeFrame**: Allows calculation on different timeframes (0-1440 minutes)
- **Source**: Price data source (default: close price)
### Calculation Settings
- **NISS Type**: Choose between "Ninja" or "SuperNinja" calculation methods
- **Oscillator Smoothing**: Smoothing length for the oscillator (1 = no smoothing)
- **Signal Length**: Period for the signal line EMA (default: 24)
### Display Options
- **Show Bullish/Bearish Zones**: Toggle for visual zone highlighting
## Trading Signals
### Primary Signals
- **Bullish Signal**: When NISS Oscillator crosses above the Signal Line
- **Bearish Signal**: When NISS Oscillator crosses below the Signal Line
### Signal Interpretation
- **Above Zero**: Generally bullish momentum
- **Below Zero**: Generally bearish momentum
- **Above +0.20**: Potential overbought conditions
- **Below -0.20**: Potential oversold conditions
## Alert System
The indicator includes built-in alert conditions for:
- Bullish crossover signals
- Bearish crossunder signals
## Usage Recommendations
### Best Practices
1. Use in conjunction with other technical analysis tools
2. Consider the overall trend direction
3. Watch for divergences between price and oscillator
4. Pay attention to signals near the neutral zone boundaries
### Timeframe Considerations
- Works on all timeframes
- Anchor timeframe feature allows multi-timeframe analysis
- Higher timeframes may provide more reliable signals
## Technical Notes
- Built on Pine Script v6
- Displays as a separate indicator panel (overlay = false)
- Includes proper error handling for timeframe calculations
- Optimized for performance with efficient EMA calculations
This indicator is particularly useful for swing traders and those looking to identify momentum shifts in trending markets. The dual-mode operation provides flexibility for different trading styles and market conditions.
BanShen MACD Basic[SpeculationLab]This is the basic version of the BanShen MACD indicator.
It includes only two core features: MACD divergence detection and ATR-based stop-loss plotting.
Ideal for users who prefer a clean chart and minimal system load.
⭕️ MACD Divergence Detection
To achieve higher accuracy, three key conditions are used:
The peaks and troughs must be clearly shaped.
The two divergence points should show a significant difference.
The divergence must be consecutive, with no interruptions.
The peak size factor filters out weak signals — by default, the peak must exceed 0.1× the histogram’s standard deviation.
The peak size ratio defines the minimum size difference between two peaks. Divergences with insufficient contrast are automatically filtered.
The noise threshold can be adjusted to ignore minor histogram fluctuations. This setting varies by instrument and defaults to 0 (no filtering).
If two or more consecutive divergences occur, this may indicate a strong mid- to long-term setup. These signals are rare but often high-probability. When enabled, a small arrow will mark the signal on the chart.
⭕️ ATR-Based Dynamic Stop Loss Finder
Assists in visualizing adaptive stop-loss levels.
All parameters, including colors, are fully customizable.
This version is designed for lightweight use and does **not** include additional modules such as RSI/OBV/FVG or Vegas Tunnel.
For the full version, search for “BanShen MACD Ultimate”.
⚠️Disclaimer⚠️
This script is for educational and informational purposes only.
It does not constitute financial advice. Use at your own risk.
这是 BanShen MACD 指标的基础版本。
该版本仅包含两个核心功能:MACD 背离识别 和 基于 ATR 的止损绘制。
适合追求图表简洁、系统资源占用低的用户。
⭕️ MACD 背离识别
为了提高识别准确率,系统采用以下三项条件进行判断:
波峰与波谷的形状需清晰明确;
两个背离点之间必须存在明显的高度差;
背离必须是连续的,中间不能被其他波峰干扰。
参数 peak size factor 用于过滤较弱的信号 —— 默认要求峰值大于 MACD 柱状图标准差的 0.1 倍。
参数 peak size ratio 控制两个波峰之间的最小比例差,若差距不足,则该背离将被自动过滤。
你还可以通过 noise threshold 来忽略柱状图中的轻微噪音。该值与柱状图的高度相关,不同品种之间差异较大,默认设置为 0,表示不过滤任何噪音。
如果系统识别到两次或以上的连续背离,通常代表一个较强的中长线机会。虽然这类信号很少见,但胜率通常较高。启用该功能后,图表上将出现一个小箭头标记提示。
⭕️ 基于 ATR 的动态止损绘制
用于辅助展示动态止损位置。
所有相关参数(包括颜色)均可自由调整。
该版本为轻量化设计,不包含 RSI / OBV / FVG 背离模块及 Vegas 隧道过滤器 等附加功能。
如需完整版本,请搜索 “BanShen MACD Ultimate”。
⚠️免责声明⚠️
本脚本仅供学习与参考使用,不构成任何投资建议。
交易有风险,使用前请自行评估,风险自负。
BanShen MACD Ultimate[SpeculationLab]This is the Public Edition of the BanShen MACD system — a fully integrated, multi-signal technical analysis toolkit built entirely from scratch.
It combines several advanced modules to help traders identify key entry/exit zones and assess trend momentum in real time.
✅ Core Modules Included:
MACD Divergence Detection
(Supports both basic and consecutive peak detection)
ATR-Based Dynamic Stop Loss Finder
Vegas Tunnel Trend Filter
Engulfing Pattern Recognition
RSI Divergence Signal Module
OBV Divergence Signal Module
FVG (Fair Value Gap) Auto Detection
Smart Signal Table (multi-module summary)
Custom Watermark for chart branding
⭕️ MACD Divergence Detection
To achieve higher accuracy, three key conditions are used:
The peaks and troughs must be clearly shaped.
The two divergence points should show a significant difference.
The divergence must be consecutive, with no interruptions.
The peak size factor filters out weak signals — by default, the peak must exceed 0.1× the histogram’s standard deviation.
The peak size ratio defines the minimum size difference between two peaks. Divergences with insufficient contrast are automatically filtered.
The noise threshold can be adjusted to ignore minor histogram fluctuations. This setting varies by instrument and defaults to 0 (no filtering).
If two or more consecutive divergences occur, this may indicate a strong mid- to long-term setup. These signals are rare but often high-probability. When enabled, a small arrow will mark the signal on the chart.
⭕️ ATR-Based Dynamic Stop Loss Finder
Assists in visualizing adaptive stop-loss levels.
All parameters, including colors, are fully customizable.
⭕️ Vegas Tunnel Trend Filter
A trend filter built with five EMAs (default: 12 / 144 / 169 / 576 / 676).
EMA12 is hidden by default.
All lengths are adjustable, and each line can be shown or hidden individually.
Even beyond Vegas-style strategies, this tool is highly flexible and versatile.
⭕️ Engulfing Pattern Recognition
A bullish engulfing is triggered when a bullish candle closes at or above the previous candle’s high.
A green cross appears below the bar, and the resonance panel lights up multiple signals.
You can change the detection condition from high to close for a looser rule.
A bearish engulfing occurs when the current close is at or below the previous low.
You can also switch the comparison to the previous open for broader detection.
⭕️ RSI & OBV Divergences
Both follow similar logic to MACD divergence.
However, since they are subchart indicators, only one module can be active at a time to avoid visual conflicts.
⭕️ Fair Value Gap (FVG)
FVGs form when price moves sharply in one direction, leaving a visible gap.
Price often returns to these gaps to retest or fill them.
This behavior creates potential entry opportunities near the gap area.
✅ Final Thoughts
This tool is highly modular and customizable.
Traders can selectively activate the modules that best suit their strategy and charting preferences.
**Disclaimer:**
This script is for educational and informational purposes only.
It does not constitute financial advice. Use at your own risk.
这是 BanShen MACD 系统的公开版本 —— 一个完全从零构建的多信号技术分析工具集。
它集成了多个高级模块,帮助交易者实时识别关键的进出场区域和趋势动能。
✅ 核心模块包括:
MACD 背离识别
(支持基本背离与连续背离识别)
基于 ATR 的动态止损定位工具
Vegas 隧道趋势过滤器
吞没形态识别模块
RSI 背离信号模块
OBV 背离信号模块
FVG(公允价值缺口)自动识别与绘制
智能信号面板(多模块信号汇总)
自定义图表水印(用于品牌标识)
⭕️ MACD 背离识别
为了获得更高的识别准确率,系统基于以下三点进行筛选:
波峰与波谷的形状必须清晰明确;
构成背离的两个点之间必须存在明显的高度差;
背离必须是连续的,中间不能被其它峰值干扰。
参数 peak size factor 用于过滤强度不足的波峰,默认要求峰值大于 MACD 柱状图标准差的 0.1 倍。
参数 peak size ratio 限定两个波峰之间的最小比例差,小于该阈值的背离会被自动过滤。
如你希望忽略柱状图中较小的杂音,可以通过 noise threshold 调节,该值基于柱状图的实际高度,适配不同交易品种。默认值为 0,表示不过滤任何杂音。
若出现两次或以上的连续背离,可能代表强烈的中长线机会。此类信号虽少见,但胜率通常较高。当此模式被触发时,图表上会出现小箭头标记。
⭕️ 基于 ATR 的动态止损定位工具
该工具用于辅助显示自适应的止损位置。
所有参数,包括颜色,都可以根据个人偏好自由调整。
⭕️ Vegas 隧道趋势过滤器
本模块由五条可自定义的 EMA 均线组成(默认值为 12 / 144 / 169 / 576 / 676)。
其中 EMA12 默认隐藏。
你可以自由调节每条均线的长度,并控制是否显示。
即使你不使用 Vegas 策略,这个模块也具备非常强的通用性和灵活性。
⭕️ 吞没形态识别
看涨吞没形态:当前阳线的收盘价高于或等于前一根阴线的最高价时成立。
触发后,K线下方会显示绿色叉号,且共振面板会点亮多个信号提示。
你可以将判断条件从“前高”切换为“前收盘”,以放宽判断标准。
看跌吞没:当前收盘价低于或等于前一根阳线的最低价。
同样可选择用“前开盘价”作为参考,以获得更宽松的识别范围。
⭕️ RSI 与 OBV 背离识别
其逻辑与 MACD 背离相似。
但由于 RSI、OBV、MACD 都属于副图指标,不能同时显示,否则会因坐标冲突而显示异常。
因此你只能在三者中选择一个启用。
⭕️ FVG(公允价值缺口)
当价格剧烈朝一个方向冲刺时,K线上会留下一个明显缺口(FVG)。
价格通常会回踩该区域进行测试或补回。
这个行为可以为我们提供潜在的入场机会。
✅ 最后说明
该指标模块化程度高,可高度自定义。
你可以根据自己的策略与偏好,自由启用适合的功能模块。
免责声明:
本脚本仅用于教育和信息参考目的,不构成任何投资建议。
交易存在风险,使用本工具前请自行评估,风险自负。
Bull AlphaFully automated long-only trading system engineered for bullish and uptrending market regimes.
From signal generation to execution and exit, the strategy requires zero manual input under normal conditions.
Utilizes advanced probabilistic filtering layers to eliminate low-conviction trades and isolate statistically favorable entries.
Signals adapt dynamically to trend strength and volatility, significantly reducing false positives in sideways or uncertain markets.
Performance Highlights
• +100% live PnL on XRP with $2K per trade, 20x leverage, 0.06% fees over 30 days
• Strategy Tester backtests for the current bullish cycle including fees:
— +114.41% PnL on XRP (Sep 2024–Jul 2025), PF 1.40
— +222.43% PnL on DOGE (Sep 2024–Jul 2025), PF 1.85
• Robust through both current and prior Fed easing cycles with consistent alpha
• Drawdown controlled below 25% in optimized configurations
• Works best in bullish or trending-up environments, with macro regime monitored separately
This is a tactical framework built to deploy capital with precision and edge.
OA - RS HistogramOA - RS Histogram Indicator
This indicator displays a histogram representation of Relative Strength (RS) analysis, helping traders visualize the momentum relationship between a security and a reference index.
Key Features:
RS Histogram: Shows the difference between the current RS ratio and its EMA smoothed line
Customizable Reference Index: Default set to XU100, but can be changed to any index
EMA Smoothing: Adjustable EMA period (default 21) for trend analysis
Visual Clarity: Histogram bars are colored aqua for positive values and purple for negative values
Zero Line Reference: Dotted gray line for easy identification of positive/negative zones
How It Works:
The indicator calculates the relative strength by comparing the normalized percentage changes of the current security against the selected reference index. A 5-period EMA is applied to the RS ratio, and then the difference between this smoothed RS line and a longer EMA (default 21 periods) is displayed as a histogram.
Technical Calculation:
Fetches reference index data with proper gap handling
Calculates normalized percentage changes for both security and index
Computes relative strength ratio
Applies EMA smoothing to reduce noise
Displays the difference as a histogram for clear momentum visualization
Customization Options:
Reference index selection (default: XU100)
EMA length adjustment (default: 21 periods)
Color customization for positive and negative histogram bars
Alert Conditions:
Histogram crossing above zero (potential bullish momentum shift)
Histogram crossing below zero (potential bearish momentum shift)
Usage:
This tool helps traders understand relative strength concepts through visual histogram representation. The zero-line crossovers can indicate momentum shifts in the security relative to the chosen benchmark index.
Chaikin Oscillator Enhanced📊 What Is the Chaikin Oscillator?
The Chaikin Oscillator is a momentum indicator that helps traders understand the strength of buying and selling pressure in the market, based on volume and price movement.
It is calculated as the difference between two moving averages (short-term and long-term) of the Accumulation/Distribution Line (A/D Line). This line combines price and volume to show whether money is flowing into or out of an asset.
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🧠 Simple Concept
• When big traders are buying, they usually do so with volume support—the Chaikin Oscillator picks this up.
• When volume is rising but price is falling, or vice versa, it shows hidden strength or weakness.
So, this indicator helps you see what the smart money is doing, even if the price isn’t moving much.
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🛠️ How It Works
• Oscillator Value Above Zero → More buying pressure (bullish).
• Oscillator Value Below Zero → More selling pressure (bearish).
• Crossing above zero → A potential buy signal.
• Crossing below zero → A potential sell signal.
The histogram (vertical bars) in the indicator changes color:
• Green bars = Positive momentum.
• Red bars = Negative momentum.
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🎯 How Traders Use It for Entry and Exit
✅ For Entries:
• Buy Entry: When the oscillator crosses above the zero line and the bars turn green, it means buyers are stepping in with volume.
• For better confirmation, combine it with price breaking above a resistance level.
❌ For Exits or Shorts:
• Sell Exit or Short Entry: When the oscillator crosses below the zero line and bars turn red, it suggests selling pressure is growing.
• If the price is also below support, it’s a stronger signal.
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🔍 Example Use Case:
1. You’re watching a stock or crypto that's been going sideways.
2. Suddenly, the Chaikin Oscillator crosses above zero, and green bars appear.
3. That’s your early clue that big buyers might be entering.
4. If price confirms this with a breakout, you can enter a long position.
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🌐 Where Is It Useful?
The Chaikin Oscillator is great for:
• Stocks (especially volume-heavy large caps)
• ETFs
• Cryptocurrency (on exchanges that provide volume data)
• Forex – less reliable unless volume is proxy-based
⚠️ Important: It won’t work well on instruments where volume data is missing or unreliable (like some CFDs or synthetic assets).
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🧭 Pro Tips for Using It:
• Combine it with support/resistance, moving averages, or candlestick patterns.
• Avoid trading only based on this indicator—use it as confirmation.
• Use the alerts (added in the script) so you don’t miss key movements.
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Market Dashboard by MohammadKamangari**داشبورد تحلیل وضعیت بازار**
این یک اندیکاتور جامع برای تحلیل سریع وضعیت بازار است و به عنوان یک داشبورد عمل میکند. این ابزار به جای دادن سیگنال مستقیم خرید یا فروش، اطلاعات کلیدی از چند اندیکاتور مهم را به صورت خلاصه و بصری نمایش میدهد تا به معاملهگر در تصمیمگیری آگاهانه کمک کند.
**ویژگیهای اصلی:**
* **جدول وضعیت بازار:** یک جدول خوانا در گوشه چارت که وضعیت روند، مومنتوم و قدرت روند را در یک نگاه نمایش میدهد.
* **روند (EMA):** بر اساس تقاطع دو میانگین متحرک، جهت کلی بازار (صعودی/نزولی) را مشخص میکند.
* **RSI:** وضعیت مومنتوم و حالتهای اشباع خرید/فروش را نشان میدهد.
* **ADX:** بین بازار دارای روند قوی و بازار خنثی (رنج) تمایز قائل میشود.
* **سطوح حمایت و مقاومت خودکار:** این اندیکاتور به صورت خودکار آخرین سقفها و کفهای قیمتی مهم (نقاط پیوت) را به عنوان سطوح مقاومت (دایرههای قرمز) و حمایت (دایرههای سبز) روی چارت مشخص میکند.
**نحوه استفاده:**
بهترین روش استفاده از این داشبورد، جستجوی "تایید" از چند شاخص به طور همزمان است. برای مثال، یک سیگنال خرید قوی زمانی است که جدول، روند صعودی، مومنتوم صعودی و روند قوی را نشان دهد و همزمان قیمت در حال شکستن یک سطح مقاومت باشد
**Market Status Analysis Dashboard**
This is a comprehensive indicator that acts as a dashboard for quickly analyzing the current market state. Instead of providing direct buy or sell signals, it summarizes key information from several important indicators into a visual format to aid in a trader's discretionary decision-making process.
**Key Features:**
* **Market Status Table:** A clean on-screen table that provides an at-a-glance summary of the trend, momentum, and trend strength.
* **Trend (EMA):** Determines the overall market direction (Bullish/Bearish) based on a dual-EMA crossover.
* **RSI:** Shows momentum status and Overbought/Oversold conditions.
* **ADX:** Differentiates between a strong, trending market and a neutral, range-bound market.
* **Automatic Support & Resistance Levels:** The indicator automatically identifies and plots recent significant price highs and lows (pivot points) as Resistance (red circles) and Support (green circles) levels on the chart.
**How to Use:**
The best way to use this dashboard is to look for confluence (confirmation) from multiple indicators simultaneously. For example, a high-probability long setup occurs when the table indicates a Bullish Trend, Bullish Momentum, and a Strong Trend, while the price is simultaneously breaking a key resistance level.
Market Dashboard by MohammadKamangari**داشبورد تحلیل وضعیت بازار**
این یک اندیکاتور جامع برای تحلیل سریع وضعیت بازار است و به عنوان یک داشبورد عمل میکند. این ابزار به جای دادن سیگنال مستقیم خرید یا فروش، اطلاعات کلیدی از چند اندیکاتور مهم را به صورت خلاصه و بصری نمایش میدهد تا به معاملهگر در تصمیمگیری آگاهانه کمک کند.
**ویژگیهای اصلی:**
* **جدول وضعیت بازار:** یک جدول خوانا در گوشه چارت که وضعیت روند، مومنتوم و قدرت روند را در یک نگاه نمایش میدهد.
* **روند (EMA):** بر اساس تقاطع دو میانگین متحرک، جهت کلی بازار (صعودی/نزولی) را مشخص میکند.
* **RSI:** وضعیت مومنتوم و حالتهای اشباع خرید/فروش را نشان میدهد.
* **ADX:** بین بازار دارای روند قوی و بازار خنثی (رنج) تمایز قائل میشود.
* **سطوح حمایت و مقاومت خودکار:** این اندیکاتور به صورت خودکار آخرین سقفها و کفهای قیمتی مهم (نقاط پیوت) را به عنوان سطوح مقاومت (دایرههای قرمز) و حمایت (دایرههای سبز) روی چارت مشخص میکند.
**نحوه استفاده:**
بهترین روش استفاده از این داشبورد، جستجوی "تایید" از چند شاخص به طور همزمان است. برای مثال، یک سیگنال خرید قوی زمانی است که جدول، روند صعودی، مومنتوم صعودی و روند قوی را نشان دهد و همزمان قیمت در حال شکستن یک سطح مقاومت باشد
**Market Status Analysis Dashboard**
This is a comprehensive indicator that acts as a dashboard for quickly analyzing the current market state. Instead of providing direct buy or sell signals, it summarizes key information from several important indicators into a visual format to aid in a trader's discretionary decision-making process.
**Key Features:**
* **Market Status Table:** A clean on-screen table that provides an at-a-glance summary of the trend, momentum, and trend strength.
* **Trend (EMA):** Determines the overall market direction (Bullish/Bearish) based on a dual-EMA crossover.
* **RSI:** Shows momentum status and Overbought/Oversold conditions.
* **ADX:** Differentiates between a strong, trending market and a neutral, range-bound market.
* **Automatic Support & Resistance Levels:** The indicator automatically identifies and plots recent significant price highs and lows (pivot points) as Resistance (red circles) and Support (green circles) levels on the chart.
**How to Use:**
The best way to use this dashboard is to look for confluence (confirmation) from multiple indicators simultaneously. For example, a high-probability long setup occurs when the table indicates a Bullish Trend, Bullish Momentum, and a Strong Trend, while the price is simultaneously breaking a key resistance level.
P3 Malaysian SNR 3-Candle Pattern1 ∙ Core Concept
This indicator turns one of the oldest discretionary price-action ideas—“support & resistance role-reversal”—into a fully rule-based, multi-time-frame model.
It detects, marks and continuously tracks the three-candle structure that Malaysian price-action traders call the SNR 3-candle pattern:
Candle-1 sets the impulse:
bullish close → potential future resistance
bearish close → potential future support
Candle-2 immediately closes the opposite way, signalling absorption of the impulse.
Candle-3 closes in the same direction as Candle-2 and confirms the level.
The script then:
Locks the HTF price zone (high/low of Candle-3) with a horizontal level.
Colours only the first two pattern candles yellow on every timeframe so lower-TF traders can see precisely which bars created the HTF level.
What Makes It Original?
Most S/R scripts only draw one line; this overlay colours all lower-TF bars that live inside the HTF pattern, letting scalpers “zoom in” on HTF structure—an approach not found in open-source examples.
Pure Price-Action –
The logic uses only raw OHLC data; there are no MAs, RSI, BB, etc. This is not a re-skin of classic indicator code.
BskLAB - Money Flow X🧠 BskLAB – Money Flow X | Full Usage Guide & Description
BskLAB – Money Flow X is a professional-grade volume analysis tool featuring two core modes designed to detect market pressure, momentum, and divergence with precision. When used alongside BskLAB Signal Assistant, it provides powerful volume-based confirmation to enhance signal quality.
🔧 Preset Modes Overview
📊 Mode 1: Money Flow (WaveTrend + Divergence)
This mode uses a custom WaveTrend oscillator to reflect momentum from buying/selling pressure, along with automatic divergence detection. It starts by calculating the average price from and filters through the EMA and SMA to create WT1 and WT2.
Key Features:Dual WaveTrend lines (WT1 & WT2) with crossover signals
Visual display of overbought / oversold zones
Automatic divergence detection:
🟢 Green = Classic Bullish Divergence
🔴 Red = Classic Bearish Divergence
🔵 Blue = Hidden Bullish Divergence
🟠 Orange = Hidden Bearish Divergence
Best Used For:
Identifying early reversals and exhaustion zones during high or low volatility phases.
🚀 Mode 2: Volume Momentum (Dynamic Histogram)
This mode displays volume-driven pressure using histogram bars that expand or contract with momentum. It calculates PercentB (%B) from Bollinger Band behavior to reflect how far price stretches away from its recent average range.
Key Features:Histogram expands with growing momentum
Dynamic bar coloring:
🔴 Red = selling pressure emerges
⚪ White = buying pressure emerges
Uses %B from Bollinger Band for calculation
Best Used For:
Confirming strong directional moves or identifying momentum buildup or fade — especially when price moves far from the average.
🔬 Internal Logic Breakdown (Main WT & Money Flow)
✅ 1. WaveTrend System (WT1 & WT2)
WT1 = Fast line (short-term momentum)
WT2 = Trend filter (slower)
Derived from (H+L+C)/3 with EMA and SMA smoothing
Color Logic:
🔼 WT1 crosses above WT2 → Cyan (Bullish Momentum)
🔽 WT1 crosses below WT2 → White (Bearish Momentum)
Zero Line Behavior:
Above 0 = strong uptrend confirmation
Below 0 = strong downtrend confirmation
✅ 2. Money Flow Line (MF Line)
Measures volume pressure based on price vs. long-period EMA
Displayed as an area plot underneath
Color Logic:
🔵 Light Cyan = Buying pressure emerging
⚪ Light White = Selling pressure emerging
Color dynamically changes based on volume shifts
Signal Strategy:
WT1 crossover + Cyan MF = Buy Confirmation
WT1 crossover + White MF = Sell Confirmation
Mismatched signals = caution advised
🧩 Designed to Pair with BskLAB – Signal Assistant
BskLAB – Money Flow X works best when used alongside 👉 BskLAB – Signals Assistant
Both tools are designed to complement each other:
Signals Assistant provides structural and momentum-based trade entries
Money Flow X confirms whether real buy/sell volume supports those entries
✅ How to Use Together:
Wait for a Buy/Sell signal from Signal Assistant
Confirm with:
WT crossover + MF color (Money Flow mode)
Histogram color shift (Volume Momentum mode)
✅ Money Flow X acts as the official volume confirmation layer within the BskLAB system to reduce false signals and improve decision-making confidence.
⚙️ Customization Options
Volume Length (for Volume Momentum)
WT Smoothing (for Money Flow)
Toggle Classic / Hidden Divergences
🔶 CONCLUSION
BskLAB – Money Flow X isn’t just another indicator — it’s a decision-making support system designed to uncover the truth behind price movements.
It helps traders gain clarity during uncertainty, separate strong signals from noise, and develop a systematic approach to entries.
By combining oscillator-based momentum + volume behavior + divergences, this tool becomes essential for traders who prioritize execution accuracy in real-world conditions.
🔶 RISK DISCLAIMER
Trading involves high risk and is not suitable for everyone. All tools, scripts, and content provided by BskLAB are for educational purposes only and do not constitute financial advice.
Past results do not guarantee future performance — trade responsibly.
Angles and DerivativesAngles and Derivatives
Calculates and plots three smoothed angular derivatives of a chosen price or indicator series.
Inputs:
Source series (EMA, SMA, WMA, VWMA, HMA, RSI, CCI, ATR, CMO, ROC)
Period length (integer)
ma rationing🧠 MA Rationing Indicator – Multi-Averaged Momentum + Divergence Zones
This script blends various moving average ratios (SMA, EMA, WMA, RMA) to create a smoothed and zero-centered momentum oscillator. Its goal is to highlight shifts in trend strength and spot possible divergences confirmed by volume.
🔍 Key Features:
• MA Ratio Core: Composite of multiple MA types across a short vs. long smoothing window, plotted against zero for trend clarity.
• Visual Acceleration Markers: Circle color intensity reflects momentum acceleration or deceleration.
• Volume-Supported Divergence: Highlights when price diverges from momentum and volume supports the signal.
• RSI Zone Highlighting: Dynamically draws boxes over RSI Overbought/Oversold regions as sentiment zones form.
• Custom Alerts: Includes alerts for zero-line crosses and divergence + volume confirmation.
This tool is designed for users seeking to combine price action, momentum, and volume into one clear visualization. It does not provide direct trade signals and should be used alongside your broader analysis.
LUCEO RSI(USDT/BTC pair)It shows the RSI on the USDT pair or USDT.P pair and the RSI on the BTC pair simultaneously, allowing you to detect divergence signals through the disparity.
Note)
- Instruments that are not listed on Binance Exchange's BTC pair will not be displayed (New Listings, Low Market Capitalization Alt, etc.)
- If the futures of a specific asset are prefixed with a number such as 1,000, BTCPair will not display correctly. Example) 1,000pepeusdt not applied/PEPEUSDT applied
HBD.2025.BOZ AYIThis indicator is designed for financial market analysis. The code generates trading signals using various **technical oscillators** such as **moving averages (EMA)**, **RSI, MACD** and **Stochastic**, as well as the **ADX trend filter**. It also offers additional visualization and analysis tools such as **bear market alerts** based on historical **price action**, **channel plots** and **MA50 cloud**. It includes a range of **input settings** that allow users to customize their strategies by **turning on and off** various filters and indicators. Finally, it also features a simple charting feature for potential **profit/loss (PnL) tracking**.
Simple ## User Guide for the Simple
I. Indicator Philosophy
This indicator is not a simple system that provides only one type of signal. It is an advanced tool that analyzes the market using three independent "engines," each specializing in detecting a different type of trading opportunity. Its goal is to identify high-probability setups by filtering out market noise.
II. Legend – What You See on the Chart
Before we proceed to the signals, you need to understand what each visual element represents:
Orange Line (200 EMA): This is the main, long-term trend indicator. It acts like a river – if the price flows above it, we look for buying opportunities (LONG). If it's below, we look for selling opportunities (SHORT).
The Ribbon (green/red): Represents short-term momentum and acts as a dynamic support/resistance zone. A green ribbon suggests buying strength, while a red one suggests selling pressure.
Kijun-sen Line (blue/red): This is the medium-term "center of gravity" of the market. It shows the price equilibrium. Its position relative to the price and the ribbon is crucial for many signals.
Gray Background: This is a "NO-TRADE ZONE." It appears when the ADX indicator shows that the market is in consolidation and lacks a clear trend. Most signals are ignored in these areas.
## III. The Three Signal Engines – When to Consider a Position
The indicator generates three different types of signals, each with its own characteristics and risk profile.
1. LONG / SHORT Labels (The Pullback Engine - Conservative)
Character: Safe, conservative, trend-following. Appears the least frequently.
How it works: It looks for ideal, "textbook" conditions. For a LONG signal, all indicators must be in full alignment (price > ribbon > Kijun > orange line), the trend must be strong (high ADX), AND the price must make a pullback to the ribbon and then bounce off it.
When to consider a position: When you see this signal, you are entering a well-developed, healthy trend. It's a high-probability entry, but often not at the very beginning of the move. Ideal for traders who value safety.
2. 🔵 / 🟣 Circles (The Squeeze Engine - Moderate)
Character: Moderately aggressive, looks for the beginning of a new, dynamic move.
How it works: It searches for periods of consolidation and low volatility (when the market is "gathering energy"). The signal (a circle) appears at the moment the price breaks out of this consolidation, and the direction of the breakout is confirmed by the Kijun-sen line.
When to consider a position: When you see the price has been moving sideways for a while, and then a circle appears. This is a sign that the consolidation phase has likely ended and a new impulse is beginning. Ideal for catching "fresh" moves.
3. ⚡ Lightning Bolt (The Reversal Engine - Aggressive)
Character: Aggressive, contrarian, attempts to catch sharp reversals. This is the riskiest signal.
How it works: It ignores most of the trend filters. Its sole purpose is to find a moment where the price, after a sharp and overextended move in one direction, suddenly reverses on a strong candle with high volume.
When to consider a position: When you want to take a risk to catch the very bottom (V-bottom) or top (V-top). This signal requires the most experience. It is recommended to only take it when it appears near a significant, horizontal support or resistance level. Never take it "in a vacuum."
IV. Summary and Practical Strategy
Signal
Signal Type
Character
Ideal Market Conditions
LONG/SHORT
Pullback Entry
Conservative
A strong, developed, and healthy trend.
🔵/🟣
Squeeze Breakout
Moderate
The end of a sideways move, the beginning of a new impulse.
⚡
Sharp Reversal
Aggressive
Market panic, oversold/overbought conditions at a key S/R level.
Eksportuj do Arkuszy
RSI Extreme Hit Tracker (Visual Enhanced + Stats)📊 Indicator Overview
🔥 RSI Extreme Hit Tracker – Visual Enhanced + Stats Edition
A high-precision momentum tracker designed for traders who want maximum insight into RSI behavior at extreme thresholds.
🧠 What It Tracks
This indicator doesn’t just alert you when RSI enters ultra-overbought or ultra-oversold zones—it actively logs, analyzes, and visualizes how price reacts during those periods.
It tracks:
- OB/OS HOLD Events: When RSI enters and stays in extreme zones for a customizable bar count
- OB/OS EXIT Events: When RSI retreats from extremes via hysteresis logic for adaptive confirmation
- Entry Alerts: Based on four modes (Basic, Cool-down, Confirmed, or Hysteresis)
- Tier Markers: Emoji-based tier tags to classify signal impact instantly on chart
- Background Tints: When OB/OS zones are active, for clear visual context
📈 Statistical Table
On every final bar, a clean table appears in the top-right corner showing:
- Count of OB/OS events (Hold & Exit)
- Total % move across all signals
- Average % move per signal
- Easy-to-skim P&L performance stats
🎛️ Configurable Features
🔄 Cool-down Periods: Prevent rapid-fire alerts after consecutive hits
🔍 Confirmed Entries: Require two-bar RSI zone confirmation before firing
🧪 Hysteresis Logic: Avoid false exits by confirming RSI decay before logging
📏 Custom Thresholds: Adjust OB/OS entry levels, exit hysteresis, and hold duration
🎨 Visual Feedback: Triangle, X-cross, and circle shapes with color-coded tier labels (🟩 🟨 🟦 🟥)
💡 Ideal Use Cases
- Reversal traders looking to time exhaustion and RSI flips
- Scalpers and momentum riders wanting sharp entry/exit maps
- Coders refining algorithms using historical signal behavior
- Analysts exploring data-driven signal statistics over time
Volatility Zones (STDEV %)This indicator calculates and visualizes the relative price volatility of any asset, expressed as a percentage of standard deviation over a rolling window.
🧠 How it works:
- Calculates rolling standard deviation of price (close) as a percentage of the current price.
- Classifies market into three volatility regimes :
• Low Volatility (≤2%) → Blue zone
• Medium Volatility (2–4%) → Orange zone
• High Volatility (>4%) → Red zone
📊 Why it matters:
Volatility structure reflects the underlying regime of the market — ranging, expanding, or trending. This tool helps traders:
- Spot optimal low-risk entry conditions
- Avoid chop zones or highly erratic moves
- Time breakouts or trend initiations
🛠 Usage:
- Works on any timeframe and instrument
- Adjustable lookback period
- Best used alongside trend filters or entry signals (e.g., SuperTrend, EMAs, etc.)
Hamster DynamicHamster Dynamic – Precision Scalping in Key Zones
Hamster Dynamic is a high-performance scalping strategy designed for traders who value speed, precision, and clarity. This script focuses on executing trades around key support and resistance levels, helping traders capitalize on high-probability setups in volatile markets.
The system combines real-time price action analysis with adaptive trend and volatility filters, making it a powerful tool for fast-paced trading environments.
Key Features
Automatic detection of major support and resistance zones
Rapid-entry scalping engine with precise timing
Built-in trend and momentum filters to avoid false signals
Fully customizable for different trading styles
Compatible with Forex, Crypto, Gold, and major indices
Who is it for
Traders who rely on zone-based entries and exits
Scalpers who need fast, accurate signals
Beginners seeking structure and confidence
Experienced traders looking to add a lightweight tactical edge
Let your strategy move with purpose. Hamster Dynamic is built for those who trade with intention.