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. Wskaźnik

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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:
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**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
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### 2. Market Condition Filters
* **RSI (14)**
* Identifies exhaustion and conflicts with trend
* **ADX (14)**
* Distinguishes trending vs range-bound environments
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### 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**.
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### 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
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## 🎯 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)**
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## ⚠️ 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**
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## 🧩 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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Market Correlation Matrix [NikaQuant]Market Correlation Matrix
A real-time correlation dashboard that displays Pearson correlation coefficients between the current chart symbol and up to 6 user-defined comparison symbols.
═══ FEATURES ═══
• Track correlations for up to 6 symbols simultaneously (default: BTCUSDT, GOLD, SPX, DXY, US10Y, QQQ)
• Heatmap-colored table with intuitive color coding from strong positive (green) to strong negative (red)
• Correlation change tracking — see how correlations are shifting over a configurable lookback period
• Visual strength bars showing absolute correlation magnitude at a glance
• Signal classification labels: STRONG+/-, MOD+/-, WEAK+/-, NEUTRAL
• Built-in alerts for strong positive/negative crosses (±0.7) and zero-line crosses
• Fully customizable: table position, text size, all colors, border styling
═══ HOW IT WORKS ═══
The indicator calculates Pearson correlation over a user-defined period (default: 50 bars) between the chart’s close price and each comparison symbol’s close price. It then renders a compact table showing:
1. Symbol — Ticker of the comparison asset
2. Corr — Current correlation value (-1 to +1)
3. Change — How much the correlation shifted vs N bars ago (with directional arrows)
4. Strength — Block-style visual bar representing absolute correlation
5. Signal — Classification from NEUTRAL to STRONG+/-
═══ SETTINGS ═══
Symbols: Configure up to 6 comparison symbols (leave blank to skip)
Correlation Period: Lookback length for Pearson calculation (default: 50)
Change Lookback: Compare current vs past correlation (default: 10 bars)
Display: Table position, show/hide title
Style: Full color customization for heatmap, headers, borders, and change indicators
═══ ALERTS ═══
• Strong positive correlation cross (above +0.7) per symbol
• Strong negative correlation cross (below -0.7) per symbol
• Any symbol crossing the zero line
═══ USE CASES ═══
• Monitor intermarket relationships in real time
• Identify regime changes when correlations break down or strengthen
• Confirm or filter trade setups using cross-asset correlation context
• Track USD, bonds, equities, and crypto correlations from a single chart Wskaźnik

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