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TradeShaper Snapshot

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A read-only indicator that captures key technicals at the moment of trade
entry — IV-rank proxy, relative-momentum read, 60-day SPX correlation, and
a one-shot market-regime classification (trending / mean-reverting /
diverging).

Designed for active options traders who keep a structured trade journal
and want richer context alongside each entry than P&L alone.

WHAT IT SHOWS


  • RSI 14 / 20 / 5 (daily-anchored)
  • Bollinger Band position with cross detection
  • EMA + SMA relations
  • MACD state
  • ATR 14 (raw + % of price)
  • Skew + excess kurtosis of daily log returns
  • IV Rank — Tastytrade-style, HV-based proxy
  • Expected Move — IV-driven 1σ range (1-day + N-day)
  • VIX, Put/Call ratio, NYSE new highs / new lows
  • Climate Score — 7-component sentiment composite (Momentum, Strength, Breadth, Put/Call, Junk Demand, Volatility, Safe Haven)
  • Stock vs Market — relative momentum, relative vol, 60-day correlation, with a single-string alignment read


USE STANDALONE

Works fully standalone — drop it on any chart, no account needed. The
panel renders in any of nine chart-corner positions and toggles on/off so
you can flip it on only at screenshot time.

OPTIONAL WEBHOOK

Emits a once-per-day JSON alert carrying the Climate Score and its
sub-scores. Useful if you keep a structured trading journal and want
market-mood data auto-logged. Plug your own webhook URL into the
TradingView alert dialog and set the Climate webhook secret input. Leave
the secret blank to disable.

More info: tradeshaper.co

Feedback welcome — built by an active swing trader.
Release Note
TradeShaper Snapshot — a read-only overlay panel that puts ~30 technical and sentiment readings in one corner of your chart. Toggle it on when you want the full context; it paints nothing on price, so your other indicators stay untouched.
In the panel:

Technicals: RSI 14/20/5, EMA/SMA relations with recent-cross flags, Bollinger position, MACD state, ATR (absolute + %), IVR (an HV-based proxy, labeled as such), return skew and excess kurtosis, 30-day drawdown, post-earnings move, and live Today % / Yesterday %.
Market context: VIX, CBOE Put/Call, and a home-grown 7-component Climate Score (a Fear & Greed–style 0–100 index) with each sub-score shown — Momentum, Strength, Breadth, Put/Call, Junk demand, Volatility, Safe haven — plus NYSE new highs/lows.
Stock vs Market: relative momentum, relative volatility, 60-day correlation, and a plain-language alignment read (With market / Mixed / Diverging).
Expected Move: a 1σ range driven by IV, sourced in priority order — manual ATM-IV override → matching CBOE vol index (VIX/VXN/RVX/…) → historical-volatility fallback — plus a 1-day move.
Next earnings: a manual date input (Pine can't read the forward earnings calendar), shown with days to event.

Use it standalone on any chart — a compact context dashboard, no account needed. It also doubles as a capture panel: one screenshot carries every reading here into a structured trade record.
Notes: RSI, ATR, skew, and kurtosis are anchored to the daily timeframe so they don't shift when you change chart resolution. Some market and vol-index symbols depend on your TradingView data plan and drop out gracefully if unavailable. IVR here is a historical-volatility proxy, not options IV. Not financial advice.

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