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IS Ghostbusters - Visual Session Levels & Auto-Hedge LogicGhostbusters is a visual execution tool designed for traders who operate based on fixed intraday levels and seek disciplined risk management. The script does more than just project entry, stop loss, and take profit levels; it acts as a real-time session monitor, validating executions and automatically managing hedge operations.
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Key Features:
Precision "Touch" Detection: Unlike standard indicators that wait for a candle to close, Ghostbusters uses intrabar prices (High/Low) to detect the exact moment price touches a level, ensuring surgical precision for entries and exits.
"One-Shot" Logic: To prevent overtrading, the script validates only the first outcome of the day. Once a TP or SL is hit, the indicator locks until the next configured session.
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Automatic Hedge System: If the initial trade hits the Stop Loss, the script automatically activates a violet-colored hedge radar. It calculates a new entry at the failure point, sets the Stop Loss at the original entry price, and calculates a reduced Take Profit (50% of the original range) to seek a quick technical recovery.
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Adaptable Professional UI:
Smart Contrast: Labels automatically change color based on your chart background (light or dark) to ensure total readability.
Level Table: Includes a dynamic table in the bottom corner that organizes SELL, BUY, and Hedge values.
Synchronized Infinite Lines: Uses line objects that span the entire chart, maintaining perfect synchronization with the price scale when zooming or scrolling.
How to Use It:
Configure Levels: Manually enter your Entry, SL, and TP levels for both BUY and SELL scenarios.
Session Control: Define your session start time. The script will ignore any prior movement and place a yellow "START" circle on the starting candle.
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Execution: Monitor the visual signals:
▲/▼ OPEN: Confirmed Entry.
✔️ TP: Target Reached.
X SL: Stop Loss Hit.
🟣 OPEN HEDGE: Hedge activation after an initial SL.
Technical Notes:
Written in Pine Script v6.
Optimized to keep the chart clean by avoiding unnecessary data points, maintaining a professional aesthetic.
Disclaimer: This script is a visualization and manual trading aid. It does not constitute financial advice or guarantee profits. Use at your own risk. 지표

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Fibonacci Retracement Low
Fibonacci Retracement Low for bitcoin and other coins.
# Fibonacci Retracement Low — Bitcoin & Altcoins
## 📐 What is Fibonacci Retracement?
Fibonacci Retracement is a technical analysis tool derived from the **Fibonacci sequence**, a mathematical series discovered by Leonardo Fibonacci in the 13th century. The sequence — 0, 1, 1, 2, 3, 5, 8, 13, 21... — produces a ratio (~1.618) known as the **Golden Ratio (φ)**, which appears repeatedly in nature, art, and financial markets.
In trading, key retracement levels are calculated as:
- **23.6%** — shallow pullback zone
- **38.2%** — moderate support/resistance
- **50.0%** — psychological midpoint (not a Fibonacci number, but widely respected)
- **61.8%** — the "Golden Pocket," most critical level
- **78.6%** — deep retracement, often a last line of defense before trend invalidation
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## 🔍 Theoretical Background
### Why Does It Work in Markets?
Markets are driven by **human psychology**, and crowd behavior tends to cluster around mathematically significant levels. Traders worldwide watch the same Fibonacci levels, creating **self-fulfilling prophecies** — the more traders act on a level, the more significant that level becomes.
### Retracement vs. Reversal
A retracement is a **temporary price pullback** within a larger trend. The core thesis of Fibonacci Retracement analysis is:
> *"A strong trending asset will not give back all its gains — it will retrace to a predictable mathematical level and resume its primary trend."*
The chart identifies the **Retracement Low**, meaning the deepest point of a corrective wave before the next major upward impulse.
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## ₿ Bitcoin & Altcoin Context
### Bitcoin as the Anchor
Bitcoin dominates the crypto market, and its Fibonacci structure sets the **macro framework** for the entire cycle. Historically:
| Cycle | Retracement Level | Outcome |
|---|---|---|
| 2018–2019 Bear | ~84% drawdown | Bounced at 0.786 |
| 2020 COVID Crash | ~50% level | V-shape recovery |
| 2021–2022 Bear | ~77% drawdown | Major accumulation zone |
### Altcoin Behavior
Altcoins tend to **amplify** Bitcoin's Fibonacci structure:
- They retrace **deeper** (often 85–95%)
- But they also **bounce harder** from key levels
- The 61.8% and 78.6% zones act as **high-probability accumulation targets** for risk-on capital rotation
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## 📊 Practical Application
When the chart marks the **Fibonacci Retracement Low**, it signals:
1. **Price has reached a historically significant mathematical support**
2. **Risk/reward is favorable** — downside is limited relative to potential upside
3. **Confluence with other indicators** (volume, RSI divergence, on-chain data) strengthens the signal
4. **Macro cycle positioning** — these lows often coincide with the final capitulation phase before a new bull run
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## ⚠️ Key Caveats
- Fibonacci levels are **not guarantees** — they are probability zones
- In extreme bear markets, price can **overshoot** below the 78.6% level temporarily
- Always combine with **volume analysis**, **market structure**, and **macro conditions**
- Bitcoin halving cycles historically influence which Fibonacci level acts as the ultimate bottom
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The identification of a Fibonacci Retracement Low, particularly across both Bitcoin and altcoins simultaneously, is often interpreted as a **generational buying opportunity** — a zone where patient, thesis-driven investors accumulate positions before the next major market expansion phase.
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ombs- Dip Reversal Near 150MA Scanner
“Elite Bottom Dip Reversal 90+ Scanner” הוא אינדיקטור מותאם אישית ל‑TradingView שנועד לאתר “תחתיות אליט” אחרי דיפ משמעותי במניה או נכס. (www.luxalgo.com)
הוא משלב כמה שכבות סינון: ירידה חדה מהשיא האחרון עם קפיטולציה (טווח נר גדול יחסית ל‑ATR), רצף נרות חלשים, מבנה מחיר של lower lows ואז higher low, ונר היפוך שורי איכותי עם גוף משמעותי, סגירה בחלק העליון וזנב תחתון בולט. (forexforstarters.com)
בנוסף הוא דורש אישור מאוסצילטורים – RSI שיצא מאזור oversold ומתחיל לעלות, Stoch RSI שעושה crossover מאזור נמוך, ונפח שאינו חלש מהממוצע – ורק כשכל התנאים האלו מתקיימים הוא מייצר איתות, מחשב ציון 0–100 ומציג כברירת מחדל רק איתותים בציון 90+ יחד עם הדגשת אזור התחתית על הגרף וטיוטת נתונים בטבלת דיבאג. (www.luxalgo.com)
**דיסקליימר (עברית)**
האינדיקטור נועד לשמש ככלי עזר לניתוח טכני בלבד ואינו מהווה ייעוץ השקעות, המלצה לקנייה או מכירה של ניירות ערך, או התחייבות לרווח. (www.interactivebrokers.com)
השימוש בו, לרבות קבלת החלטות מסחר על בסיס האיתותים, הוא באחריות המשתמש בלבד; מומלץ לשלבו עם ניתוח שוק נוסף, ניהול סיכונים עצמאי והתייעצות עם גורם מקצועי מוסמך לפי הצורך. (www.tradingview.com)
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The “Elite Bottom Dip Reversal 90+ Scanner” is a custom TradingView indicator built to detect “elite” bottom reversals after significant dips in a stock or other instrument. (forexforstarters.com)
It combines multiple filters: a sharp drop from a recent pivot high with capitulation (large candle range relative to ATR), a sequence of weak candles, a price structure showing lower lows followed by a higher low, and a strong bullish reversal candle with a sizable body, upper‑side close, and pronounced lower wick. (www.luxalgo.com)
On top of that, it requires confirmation from oscillators – RSI emerging from oversold and turning up, Stoch RSI crossing up from a low zone, and volume not weaker than its average – and only when all these conditions align does it fire a signal, compute a 0–100 score, and by default plot only 90+ signals while highlighting the bottom zone and exposing all components in a debug table. (forexforstarters.com)
**Disclaimer (English)**
This indicator is intended solely as a technical analysis tool and does not constitute investment advice, a recommendation to buy or sell any security, or a guarantee of profit. (www.interactivebrokers.com)
Any trading decisions made using this script are entirely the user’s responsibility; you should combine it with additional market analysis, your own risk‑management rules, and, where appropriate, consultation with a licensed financial professional. (www.tradingview.com) 지표

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Gann Fan v15 [Phases + Signals]Gann Fan v15 is a strategy inspired by the classic Gann Fan and Gann Angles methodology attributed to W.D. Gann. Gann’s original approach studied the relationship between price, time, geometry, and market angles to identify trend strength, diagonal support and resistance, and potential changes in market behavior.
Credit:
The base concept of the fan angles comes from the Gann Fan / Gann Angles method attributed to W.D. Gann. This script does not claim to reproduce Gann’s original work exactly. It is an independent strategy built around that historical concept, with additional logic for phase detection, signal confirmation, visual analysis, and risk management.
What makes this strategy different:
This script is not only a traditional Gann Fan drawing tool. A classic Gann Fan usually plots diagonal angle levels from a selected high or low. This strategy adds a complete decision framework on top of the Gann Fan concept.
The main differences are:
1. Automatic pivot detection
The script automatically detects recent pivot highs and pivot lows instead of requiring the user to manually anchor the fan.
2. ATR-normalized angle calculation
Instead of using only fixed visual chart angles, the script calculates movement angles using ATR normalization. This helps adapt the angle reading to the volatility of the current symbol.
3. Market phase classification
The script classifies the market into four phases based on the calculated angle:
ACCUM: weak angle or low momentum.
MODER: moderate directional movement.
EXPAN: stronger directional expansion.
ACCEL: extreme acceleration.
4. Visual phase background
The chart background changes according to the detected phase and direction. This helps the user quickly identify whether the market is in accumulation, moderate movement, expansion, or acceleration.
5. LONG and SHORT signal logic
The strategy generates LONG and SHORT signals using Gann-inspired angle behavior, swing direction, EMA confirmation, and candle confirmation depending on the selected entry mode.
6. Multiple entry modes
The user can choose between three signal modes:
Strict, Medium, and Easy.
Each mode changes how much confirmation is required before a signal appears.
7. Built-in risk management
The strategy includes configurable Stop Loss, Take Profit, optional Trailing Stop, and visual TP/SL guide lines.
8. Dashboard
A table shows the current swing direction, live angle, current phase, bullish fan angle, bearish fan angle, active mode, and phase thresholds.
How the strategy enters LONG:
A LONG signal appears when the market structure is bullish and the selected entry mode confirms that the bullish movement has enough strength.
Mode 1 - Strict:
A LONG entry requires the market phase to transition from ACCUM or MODER into EXPAN or ACCEL. The swing must be bullish, EMA 8 must be above EMA 21, and the candle must close bullish.
Mode 2 - Medium:
A LONG entry can appear when the current phase is MODER, EXPAN, or ACCEL. The swing must be bullish, EMA 8 must be above EMA 21, and the candle must close bullish.
Mode 3 - Easy:
A LONG entry can appear when the current angle is above the weak angle threshold, the swing is bullish, price closes above EMA 8, and the candle is bullish.
How the strategy enters SHORT:
A SHORT signal appears when the market structure is bearish and the selected entry mode confirms that the bearish movement has enough strength.
Mode 1 - Strict:
A SHORT entry requires the market phase to transition from ACCUM or MODER into EXPAN or ACCEL. The swing must be bearish, EMA 8 must be below EMA 21, and the candle must close bearish.
Mode 2 - Medium:
A SHORT entry can appear when the current phase is MODER, EXPAN, or ACCEL. The swing must be bearish, EMA 8 must be below EMA 21, and the candle must close bearish.
Mode 3 - Easy:
A SHORT entry can appear when the current angle is above the weak angle threshold, the swing is bearish, price closes below EMA 8, and the candle is bearish.
Risk management:
The strategy includes a configurable Stop Loss percentage and Take Profit percentage.
When Trailing Stop is enabled, the Take Profit level is used as the trail activation price.
The strategy also includes an optional open-profit protection feature that can close the position after a minimum open profit condition is reached.
TP and SL levels are displayed on the chart while a position is active.
Visual elements:
Dynamic bullish and bearish Gann Fan levels.
Phase-colored background.
EMA 8 and EMA 21.
LONG and SHORT labels.
Live angle label.
Dashboard with current market state.
TP and SL lines.
Important usage notes:
Gann Fan and angle-based analysis can be sensitive to chart scaling, timeframe, volatility, and market conditions.
This strategy should be tested on each symbol and timeframe before use.
The default parameters are only a starting point.
Users should adjust the angle thresholds, pivot periods, Stop Loss, Take Profit, and Trailing Stop according to their own testing.
Disclaimer:
This script is for educational and analytical purposes only.
It does not provide financial advice.
It does not guarantee profits.
Past performance does not guarantee future results.
Always use proper risk management. 전략

SPX/SPY Weighted Sector Tape Quality DashboardSPY/SPX Weighted Sector Tape Quality Dashboard
- Purpose:
Provides a real-time view of SPY/SPX sector participation using sector ETF movement and approximate S&P 500 sector weights.
- Weighted Sector Impact:
Calculates each sector’s contribution by multiplying the sector’s percent move by its market weight.
- Real-Time Sector Table:
Displays each sector in a TradingView table with sector name, weight, percent move, weighted impact, and quick read.
- Color-Coded Heatmap:
Uses green/red shading to show positive or negative contribution. Brighter colors indicate stronger impact.
- Sortable Sector View:
Allows sorting by SPX weight, absolute contribution, or directional contribution.
- Editable Sector Weights:
Sector weights can be adjusted in settings as S&P 500 sector weights change over time.
- Move Calculation Options:
Supports Today From Open, Bar-to-Bar, and custom Lookback calculations.
- Weighted Positive Participation:
Shows how much of the S&P 500 by sector weight is participating positively.
- Positive Sector Count:
Tracks how many of the 11 major sectors are positive.
- Cyclical vs Defensive Score:
Compares risk-on sectors against defensive sectors to identify market tone.
- Mega-Cap Concentration:
Measures whether the move is being driven mainly by Technology, Communication Services, and Consumer Discretionary.
- VIX Confirmation:
Uses VIX movement as a confirmation or warning signal for tape quality.
- Tape Quality Score:
Combines weighted participation, breadth, cyclicals vs defensives, and VIX behavior into one quick score.
- Tape Classification:
Labels the tape as Broad Risk-On, Narrow Mega-Cap Bid, Defensive Rotation, Fake Breakout Risk, Broad Liquidation, Risk-Off, or Mixed/Chop.
- Compact Mode:
Offers a smaller, faster-read table layout for active trading screens.
- Adjustable Table Size:
Allows changing table text size from Tiny to Huge.
- Moveable Table Location:
Supports nine table positions across the chart: top, middle, bottom, and left, center, or right.
- Top 6 Mode:
Optionally shows only the six highest-ranked sectors to reduce screen clutter.
- Mini Plot:
Optional plot of net weighted sector contribution and tape quality score.
- Best Use Case:
Designed for intraday ES, SPX, and SPY traders who want to quickly see whether price action is broadly supported or narrowly driven.
- Important Note:
This tool estimates sector participation using SPDR sector ETFs and editable S&P 500 sector weights. It is intended as a market internals and participation read, not a buy or sell signal by itself. 지표

Universal Session Open V.3 - TF 1/15DESCRIZIONE DELLO SCRIPT:
Cos'è Universal Session Open V3?
L’Universal Session Open V3 è un indicatore avanzato studiato per lavorare sui timeframe a 1 e 15 minuti. È progettato per i trader che vogliono unire la ciclicità del tempo (le sessioni di borsa) con la precisione millimetrica dei volumi (Volume Profile e vPOC).
Lo scopo di questo strumento è mappare con esattezza l'attività delle tre sessioni principali (Tokyo, Londra e New York) per individuare i livelli in cui le istituzioni hanno accumulato i massimi volumi.
Caratteristiche Principali
Tracciamento Sessioni Intraday: Evidenzia l'apertura esatta di Tokyo, Londra e New York con linee e label dedicate.
Volume Profile Integrato: Calcola e traccia in tempo reale il POC (Point of Control), il VAH (Value Area High) e il VAL (Value Area Low) di ciascuna sessione.
Virgin POC (vPOC) Dinamici: Alla chiusura di ogni sessione, se il POC non è stato toccato, l'indicatore lo trasforma in un vPOC tratteggiato e semi-trasparente, estendendolo verso destra. La linea si interrompe automaticamente nel momento esatto in cui il prezzo la tocca nel futuro.
Grafica Ottimizzata per SMC: I colori e i livelli sono studiati per essere puliti e riposanti, perfetti per essere usati insieme ad altri indicatori (es. FVG e SMC).
Come Imposto la Mia Operatività (La Strategia di Confluenza)
Per ottenere il massimo da questo indicatore, vi spiego la mia regola di trading ferrea che unisce struttura, tempo e volume:
Identifico la Fascia SMC: Aspetto che il prezzo entri in una zona di interesse istituzionale. Uso i rettangoli Rosa (Premium/Supply) per cercare vendite e i rettangoli Blu (Discount/Demand) per cercare acquisti.
Cerco la Confluenza con il vPOC: Guardo se all'interno di quella fascia è presente un vPOC non mitigato (linea rosa tratteggiata generata dall'indicatore).
Controllo le Conferme nella Dashboard: Verifico sulla dashboard che la borsa attuale mostri un'estensione del volume significativa e che la pressione Buy/Sell (Delta) confermi l'inversione.
Il Trigger d'Ingresso: Se il vPOC è dentro la fascia e i volumi confermano, quello è il mio livello esatto per piazzare l'ordine.
Gestione dello Stop Loss e del Rischio
Lo Stop Loss va posizionato sempre appena fuori dalla fascia SMC (sotto la fascia blu per i Long, sopra la fascia rosa per gli Short). Questo permette di rischiare pochissimi pip a fronte di guadagni molto più grandi, mantenendo un Risk/Reward medio di 1:3 o superiore. Se il prezzo tocca un vPOC che si trova nel "vuoto" (fuori dalle fasce di ordine SMC), lo ignoro.
NOTE PER LA COMMUNITY:
Questo indicatore viene rilasciato gratuitamente per tutti i trader che vogliono fare un salto di qualità nella lettura dei volumi e delle sessioni. Se lo trovi utile per il tuo trading, lascia un "Boost" e aggiungilo ai preferiti!
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What is Universal Session Open V3?
Universal Session Open V3 is an advanced indicator specifically designed for 1-minute and 15-minute timeframes. It is tailored for traders who want to combine time cycles (market sessions) with precise volume data (Volume Profile and vPOCs).
This tool accurately maps the activity of the three major trading sessions (Tokyo, London, and New York) to identify the exact levels where institutions have accumulated the highest trading volume.
Key Features
Intraday Session Tracking: Highlights the exact opening prices for Tokyo, London, and New York with dedicated lines and labels.
Integrated Volume Profile: Calculates and plots the POC (Point of Control), VAH (Value Area High), and VAL (Value Area Low) for each session in real-time.
Dynamic Virgin POCs (vPOC): At the end of each session, if the POC remains untouched, the indicator converts it into a dashed, semi-transparent vPOC line and extends it to the right. The line automatically stops plotting the exact moment price mitigates it in the future.
Optimized for SMC: Colors and levels are clean and non-intrusive, making it the perfect companion for other indicators like FVG and SMC setups.
Trading Strategy & Confluence Rules
To get the most out of this indicator, here is my strict trading plan combining structure, time, and volume:
Identify the SMC Zone: Wait for the price to enter an institutional area of interest. Use Pink rectangles (Premium/Supply) for shorts and Blue rectangles (Discount/Demand) for longs.
Find the vPOC Confluence: Check if there is an unmitigated vPOC (dashed pink line created by the indicator) lying inside that specific SMC zone.
Check the Dashboard Confirmations: Look at your volume dashboard to verify that the current session shows significant volume extension and that the Buy/Sell pressure (Delta) confirms the reversal.
The Entry Trigger: If the vPOC is inside the zone and volume confirms it, that is the exact level to place the order.
Risk Management & Stop Loss
Always place the Stop Loss just outside the SMC zone (below the blue zone for Longs, above the pink zone for Shorts). This allows for a very tight Stop Loss and much larger targets, maintaining a Risk/Reward ratio of 1:3 or higher. If the price touches a vPOC that sits in "no man's land" (outside of valid SMC zones), ignore it.
NOTES FOR THE COMMUNITY:
This indicator is released for free to help traders level up their volume and session analysis. If you find it useful, please leave a Boost and add it to your favorites! 지표

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CRUXRSI + MACD Buy Signal
Indicador de senales de compra que combina el RSI y el MACD para detectar momentos de alta probabilidad de reversion alcista.
Como funciona:
El indicador monitoriza continuamente el RSI y el MACD. Cuando el RSI baja a zona de sobreventa extrema por debajo de 20 y luego se da la vuelta cruzando al alza ese nivel, y al mismo tiempo el MACD se encuentra en zona negativa, se genera una senal de compra representada por una cruz verde en la parte inferior del panel.
Senal de compra:
Se activa cuando se cumplen dos condiciones simultaneamente. El RSI cruza al alza el nivel 20, confirmando que el precio toco fondo y esta girando. El MACD esta por debajo de -25, confirmando que hay agotamiento vendedor real.
Importante:
Este indicador genera exclusivamente senales de compra. No genera senales de venta. Disenado para buscar rebotes en zonas de sobreventa extrema. Funciona en cualquier activo y temporalidad.
Configuracion recomendada:
Activo: cualquier activo, indices, acciones, forex, cripto, materias primas.
Timeframe: desde 15 minutos hasta diario.
RSI nivel sobreventa: 20 por defecto.
MACD nivel negativo: -25 por defecto, ajustar segun el activo.
Como usarlo:
Espera la cruz verde en la parte inferior. Activa la alerta para recibir notificacion automatica. Usar siempre con gestion de riesgo y stop loss. 지표

Universal Session Open V.2📌 Cos'è questo indicatore?
L'Apertura Borse Universale V.2 è un indicatore essenziale per chi fa trading usando i concetti di Smart Money (SMC) e Price Action. Traccia in modo millimetrico i prezzi di apertura delle tre sessioni principali: Tokyo, Londra e New York.
Il prezzo di apertura di una borsa funge spessissimo da livello istituzionale chiave (Supporto/Resistenza) durante la giornata di contrattazione. Questa versione 2 è stata completamente riscritta per eliminare ogni errore di calcolo e permetterti di vedere esattamente dove i mercati aprono le loro porte.
⚙️ Caratteristiche Principali
Precisione Millimetrica (UTC+2 Roma): Le aperture sono calcolate esattamente al primo minuto di ciascuna borsa (Tokyo 00:00, Londra 09:00, New York 14:30), senza sfasamenti dovuti al fuso orario del grafico.
Niente Sovrapposizioni Visive: Le linee orizzontali di apertura iniziano sulla prima candela della sessione e si fermano esattamente alla chiusura della sessione stessa.
Storico Completo (Novità V.2): Le linee dei giorni precedenti rimangono finalmente visibili nello storico, permettendoti di fare backtest visivo sui vecchi livelli di apertura.
Design Pulito: Un piccolo pallino segnala visivamente la candela esatta dell'apertura, lasciando il grafico libero dal rumore.
💡 Come usarlo nel Trading (SMC)
Identifica i livelli chiave: Usa le linee di apertura come zone di attrazione del prezzo o potenziali livelli di rimbalzo (Open Session Manipulation).
Analisi del contesto: Combinalo con il tuo indicatore di Range Medio o con i rettangoli delle sessioni per capire la struttura di mercato intraday.
Analisi multi-timeframe: Funziona perfettamente su qualsiasi timeframe (1m, 5m, 15m, ecc.), garantendo sempre la massima precisione della linea.
🛠️ Impostazioni Personalizzabili
Puoi modificare manualmente gli orari di apertura e chiusura delle sessioni direttamente dal menu delle impostazioni dell'indicatore per adattarli ai tuoi strumenti di trading preferiti.
🇬🇧 ENGLISH VERSION
Script Title
Universal Session Open V.2
Script Description
📌 What is this indicator?
The Universal Session Open V.2 is an essential indicator for anyone trading with Smart Money Concepts (SMC) and Price Action. It accurately tracks the exact opening prices of the three major trading sessions: Tokyo, London, and New York.
The opening price of a session very often acts as a key institutional level (Support/Resistance) during the trading day. This Version 2 has been completely rewritten to eliminate any calculation errors, allowing you to see exactly where the markets open.
⚙️ Key Features
To-the-Minute Precision (UTC+2 Rome): Openings are calculated exactly at the very first minute of each session (Tokyo 00:00, London 09:00, New York 14:30), without any offset caused by your chart's timezone.
No Visual Overlap: The horizontal open lines begin on the first candle of the session and stop exactly when the session ends.
Full Historical Data (New in V.2): Previous days' lines now remain visible in your chart's history, allowing you to visually backtest past opening levels.
Clean Design: A small dot visually marks the exact opening candle, keeping your chart clutter-free.
💡 How to use it in Trading (SMC)
Identify key levels: Use the opening lines as price magnets or potential bounce levels (Open Session Manipulation).
Analyze the context: Combine it with your Average Range indicator or session rectangles to understand the intraday market structure.
Multi-timeframe analysis: It works perfectly on any timeframe (1m, 5m, 15m, etc.), always guaranteeing the maximum precision of the lines.
🛠️ Customizable Settings
You can manually adjust the opening and closing hours of the sessions directly within the indicator settings menu to adapt them to your preferred trading assets.
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