Hourly Structure Boxes & VolumeThis indicator merges micro-session market structure with a localized volume kinematics engine. By anchoring opening range boxes (5m, 15m, and 30m) to a strict hourly cycle, it allows traders to visualize initial balance boundaries while simultaneously measuring the order flow effort required to break out of them.
Core Logic & Mechanics
This script resolves the common issue of Cumulative Volume Delta (CVD) "drifting" over time by forcing it to reset at specific structural boundaries. The mashup of visual price boxes and volume data is justified because the volume calculations are strictly dependent on the structure for their anchor points.
Hourly Micro-Boxing: At the start of every hour, the script begins drawing three nested ranges: the first 5 minutes, 15 minutes, and 30 minutes. It calculates the midlines of the 5m and 15m ranges and highlights the space between them as a "Midline Zone," projecting it forward to the end of the hour as a critical area of structural gravity.
Dynamic CVD Resets: The CVD engine does not run continuously. It resets at the top of the hour, at the completion of each micro-box (5m, 15m, 30m), AND dynamically if the price touches the extended 5m or 15m midlines. This ensures the volume delta is always measuring the immediate push off a structural level.
3-Stage Breakout Engine: The script actively monitors the 15-minute box for a specific exhaustion-breakout pattern. It requires three stages to trigger a signal:
Stage 1: Price wicks or touches outside the 15m box boundary.
Stage 2: Price retreats back inside the 15m box.
Stage 3: A subsequent candle strictly closes outside the box. Only then does it print a "15m Breakout" label, filtering out standard liquidity sweeps.
Volume Kinematics Dashboard: The lower dashboard calculates proprietary metrics:
Pace: Total points moved divided by the bars elapsed since the last structure reset.
Velocity: CVD divided by bars elapsed.
Friction: Absolute Velocity / Absolute Pace. Measures absorption (how much volume is being burned for minimal point gain).
Burn Score: A localized exhaustion metric adjusted by an Auto-Session Divisor to normalize values between the main New York session and overnight trading.
How to Use It
Designed primarily for scalping volatile indices like the Nasdaq 100 on lower timeframes (1m to 5m), this tool provides actionable data for mean-reversion and breakout trading.
Trading the 15m Breakout: Wait for the 3-stage breakout label to print. Before entering, check the dashboard's "Velocity" and "Friction." If the breakout label prints with high Velocity and low Friction, it signals genuine momentum.
Midline Zone Bounces: If price enters the shaded cyan 5m-15m Midline Zone, watch for the CVD reset. If the reset immediately shows heavy opposing volume (a spike in Pace and Velocity in the opposite direction), the midline zone is defending successfully, offering a tight-risk entry back toward the hourly box extremes.
Friction Exhaustion: If price is pushing against the 30-minute box boundary but the dashboard shows extreme "Friction" and a high "Burn Score" (turning purple or red), the move is being absorbed by limit orders. This is a setup for a fade/reversal back to the midlines. 지표

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Squeeze Momentum Enhanced [TechnoFunda] Squeeze Momentum with integrated Volume Surge detection, Supertrend directional filter, and
ADX trend strength — unified in a single panel with a composite confidence score.
VOLUME SURGE DETECTION — Flags bars where current volume exceeds the 5-day moving average by a configurable multiplier (default 2x). Volume expansion during a squeeze is one of the most reliable precursors to a breakout.
SUPERTREND + ADX FILTER — ATR-based trend direction combined with ADX trend strength scoring. Reduces false signals by requiring both directional alignment and sufficient trend momentum.
CONFIDENCE SCORE (0-100%) — Proprietary composite metric derived from six independent factors: momentum direction, acceleration, squeeze release timing, volume expansion, Supertrend alignment, and ADX confirmation.
REAL-TIME DASHBOARD — Displays Squeeze status, Momentum value, Volume ratio, ADX reading, Trend direction, and Confidence score at a glance.
Alerts: Buy / Strong Buy / Sell / Volume Surge during Squeeze
Built on the Squeeze Momentum concept originally developed by LazyBear, with substantial
enhancements for institutional-grade signal quality.
Pro version with full integration available — follow for updates. 지표

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Adaptive Trend Checklist (EMA + Adaptive ST + ADX + MTF)svm22GHere is a polished **English description** for publishing your **Pine Script v5** on TradingView:
---
**Adaptive Trend Checklist PRO v5**
Adaptive Trend Checklist PRO v5 is an advanced trend-following and market-structure checklist designed to help traders evaluate whether market conditions are favorable for a long, short, or no-trade decision.
This script was built as an enhanced evolution of the classic checklist concept, combining trend confirmation, strength analysis, structure, momentum, and trade planning into a single visual framework.
### What it does
The indicator analyzes multiple layers of market context and converts them into a practical decision-making panel directly on the chart.
It combines:
* EMA baseline trend bias
* Adaptive SuperTrend
* ADX and DI directional strength
* Multi-timeframe confirmation
* BOS / CHoCH structure logic
* liquidity sweep detection
* Premium / Discount location
* Fair Value Gap context
* pullback and extension filters
* optional volume and session filters
The goal is not just to show trend direction, but to help determine whether the current setup is strong enough to justify a trade.
### Main features
**1. Adaptive trend framework**
The script uses an EMA baseline together with an Adaptive SuperTrend.
Unlike a fixed SuperTrend, the ATR multiplier adapts to ADX conditions, making it more responsive during strong trends and more conservative during weaker conditions.
**2. Trend strength and directional confirmation**
ADX and DI are used to measure whether price is trending with enough strength and whether bulls or bears are in control.
**3. Multi-timeframe alignment**
Optional MTF filters allow the user to confirm higher-timeframe direction before taking signals on the current chart.
**4. Market structure integration**
The script includes BOS and CHoCH logic, helping traders identify whether price is confirming continuation or possible structural reversal.
**5. Premium / Discount context**
A rolling range is used to classify price as trading in discount, equilibrium, or premium, which can help improve directional decision-making.
**6. Fair Value Gap filter**
Bullish and bearish FVG zones can be used as an additional contextual filter to improve selectivity.
**7. Pullback and extension control**
The script avoids chasing overextended price and can require pullback conditions before allowing a signal.
**8. Decision checklist panel**
A professional side panel summarizes all relevant conditions, including:
* bias
* EMA state
* SuperTrend state
* ADX condition
* DI direction
* MTF alignment
* regime
* structure
* PD location
* FVG state
* pullback / extension state
* bull vs bear score
* final status
### Visual trade planning
This makes it easier to plan the trade visually and quickly assess risk-to-reward.
### Designed for
This script is especially useful for:
* crypto traders
* altcoin intraday trading
* momentum traders
* trend-following traders
* discretionary traders who want a structured checklist before entering
It can also be adapted to other markets, but the logic was primarily optimized for fast-moving crypto conditions.
### Important note
This indicator is a decision-support tool, not a guarantee of future performance.
It is designed to improve selectivity, filter weak setups, and provide a more structured framework for trade planning. As with any trading tool, it should be used alongside sound risk management and market judgment.
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Stock Option Seller - Open Road
## 📌 Description — Open Road · Option Seller
**Open Road · Option Seller** is a structured decision-support indicator designed for **systematic option sellers** trading monthly credit spreads on large-cap Indian equities.
It converts price action, momentum, and volatility into a **clear, rules-based structure selection**:
* **Put Credit Spread**
* **Call Credit Spread**
* **Iron Condor**
* **Wait (no trade)**
The goal is simple:
Remove discretion and provide a **repeatable framework for directional and non-directional option selling**.
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## ⚙️ Core Logic
The system is built on a **multi-factor scoring model**:
### 1. Trend Engine (3-factor scoring)
* EMA positioning (20/50)
* Short-term consistency (last 5 closes vs EMA)
* 21-day momentum
This produces a **Trend Score (-3 to +3)**:
* +3 → Strong Bullish
* -3 → Strong Bearish
* Between → Neutral / Lean bias
---
### 2. Market Condition Filters
* **RSI (14)**
* Identifies exhaustion and conflicts with trend
* **ADX (14)**
* Distinguishes trending vs range-bound environments
---
### 3. Structure Selection Logic
* **Low trend / extreme RSI → Iron Condor**
* **Trend + clean RSI + ADX confirmation → Directional spreads**
* **Conflict → No trade (WAIT)**
This ensures trades are taken only when **market structure is aligned**.
---
### 4. Strike & Risk Framework
* Uses **ATR-based wing sizing**
* Automatically rounds to practical strike intervals
* Provides **approximate strike suggestions** for:
* Short legs
* Hedge legs
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## 📊 Visual Panels
The indicator includes 4 diagnostic panels:
1. **EMA Distance Panel**
→ Measures price positioning vs trend
2. **RSI Panel**
→ Highlights overbought / oversold regimes
3. **ADX Panel (+DI / -DI)**
→ Identifies trend strength and direction
4. **Trend Score Histogram**
→ Clean visual representation of directional bias
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## 🧠 Signal Output
On the latest candle, the system displays a **decision panel** with:
* Trend classification
* Score (out of 3)
* RSI & ADX interpretation
* ATR + wing size
* Final structure recommendation
* Suggested strike levels
---
## 🎯 Designed For
* Monthly option sellers
* Systematic traders (rule-based execution)
* Traders who want to avoid discretionary bias
* Large-cap equity option strategies
Best suited for:
**RELIANCE, HDFCBANK, TCS, SBIN, AXISBANK (Daily timeframe)**
---
## ⚠️ Important Notes
* This is a **decision-support tool**, not a fully automated trading system
* Strike suggestions are **approximate** and should be validated with live option chain data
* Works best when combined with **risk management and position sizing discipline**
---
## 🧩 Philosophy
Most option sellers fail not because of strategy, but because of **inconsistent structure selection**.
Open Road enforces:
* When to sell directionally
* When to stay neutral
* When to not trade
That alone removes a large part of edge erosion.
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