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MR Sentiments by volumes 5

"Sentiments of traders" in the financial markets is a topic that has been of interest to us for a long time. In time, we could not find the right formula to define these sentiments. We went through many stages in the search for the right methodology - from taking data from external sources to calculate open positions of buyers and sellers to calculating tick volumes, but still we were not satisfied with the results. The calculation of open positions of buyers and sellers from external sources had several problems - it was a sample of the registered traders in the external source, this sample could not be tracked over time and tested, although the external source was highly rated, there was no clarity how they process the data they provide. On the other hand, the calculation of tick volumes takes a lot of resources and the methodology of the calculation has many controversial moments. Over the course of a year, all of our losses were concentrated in the ranges. We knew that 90% of the time financial markets are in a "Range". We had to create our own indicator ("MR-Range Breakouts") to show our understanding of the ranges and the volumes in them. We were able to cut our losses but we wanted more and more. In the end, we wanted an indicator that would show "Sentiments of traders" in the areas that were problematic for us. We wanted to know in which direction the range will end and the new impulse movement of the price will begin. We thought our wish was "Mission Impossible"!!!

A year ago we came across a wonderful explanation and example for volumes in financial markets...

"
Example of Volume of Trade - https://www.investopedia.com/terms/v/volumeoftrade.asp
Suppose a market consists of two traders, trader 1 and trader 2. The first trader buys 500 shares of stock ABC and sells 250 shares of XYZ. The other trader sells those 500 shares and buys the 250 shares of stock XYZ to the first trader. The total volume of trade in the market is 750 (500 shares of ABC +250 XYZ shares). This is because we do not double-count the volume - when trader 1 buys 500 ABC shares from trader 2, only 500 shares are counted. Likewise, only 250 shares of XYZ would be recorded on the volume tally.
"


This was enough to realize that the volumes in a bars indicate the intentions in fact - of sellers or buyers. The sum of these volumes for a certain section of the chart of a financial instrument can largely satisfy our need to understand which of these two groups of market participants have the upper hand at a given moment. Of course, we immediately thought of the classic indicator "On Balance Volume" (OBV in short) indicator. The indicator was developed by Joe Granville in the 1960s and was a revolutionary indicator in those days, and today many professional traders in the financial markets use this indicator for analysis and trading. We studied its calculation formula in detail and found that there are a few points that need to be corrected, but this indicator could be a very good basis for our indicator.

1. The "On Balance Volume" indicator is calculated for all bars available on the chart of the financial instrument. This means that towards the last bar of the chart, we have an accumulation of data that is well above or below the zero from which the indicator calculation starts. This skews the imbalance data between buyers and sellers to the most recent and current bar on the chart.
2. When there is a "Gap", the volumes of the next bar are added to the volumes of the previous bar. This way, it does not matter whether the bar belongs to sellers or buyers.
3. When the "Open" price is equal to the "Close" price, the volumes in the bar are not added. Since the indicator was created in the 1960s and Japanese candlesticks were rediscovered in the 1980s, we had to make adjustments to our formula for calculating the indicator to account for the meaning of the "Doji" candles and their meaning in "Price Actions" method of analysis.

All of this was adjusted in our formula for calculating the imbalance between buyers and sellers. In this way, the "MR Sentiments by volumes" indicator is an upgrade of the classic "On Balance Volume" indicator.

What advantages our indicator gives:
  • The indicator shows in the form of a curve the imbalance between sellers and buyers relative to "0", from which it starts to be calculated. Buyers volumes are added with a "+" sign and sellers volumes are added with a "-" sign. The summed difference between the two groups of market participants determines the direction of the curve relative to zero.
    - The percentage ratio between buyers and sellers and how many bars are distributed between them is shown in text form.
  • The percentage ratio between buyers and sellers and how many bars are distributed between them is shown in text form.
  • In the form of a histogram, you can see which volumes belong to the buyers and which belong to the sellers.
  • We have found that our indicator gives the best results for around 150-200 bars. After that, information begins to be distorted as a result of the accumulation of data.
  • Through the various options in the indicator, you can explore what the "Sentiments" and attitudes of market participants have been for a selected section of the chart.
  • In combination with the "MR Range Breakouts" indicator, you can see the "Sentiments" inside the range. When we also have an "Expansion" of the sellers or the buyers, you can see the imbalance of all participants in the range to those in the "Expansion".
  • In combination with the "MR Reversal Patterns" indicator, you can see when the imbalance of volumes have weight when "Reversal patterns" appear and their combinations between them.
  • In combination with the "MR Volume POC Levels" indicator, you can see when the volumes are used in the direction of the price movement and when the true reversal of the price movement occurs.
  • In combination with the "MR Volume Profile Rectangles" indicator, you can see the imbalance of volumes in the volume profile.
  • Combined with the "MR Trend Corrections" indicator, you can track how long the imbalance between buyers and sellers is in favor of the "Impulsive" price movement and when there is a rearrangement between them at the beginning and at the end of "Corrections".
  • The indicator shows with great accuracy the "Sentiments of traders" before the occurrence of financial news.


If you liked the indicator, please support our work by giving 5 stars!!!

For MetaTrader 4 https://www.mql5.com/en/market/product/97145


Indicator settings:

Drawing mode - You can choose the drawing mode of the indicator. The drawing modes are as follows:

  • By "N" Bars History - Shows the imbalance of volumes for the last "N" number of bars you specified in the settings. By default, 150 bars are selected.
  • Left to right - Shows the imbalance of volumes from the control line on the right.
  • Between lines - Shows the imbalance of volumes from between two control lines. In this way, you can examine the imbalance of volumes for a selected part of the chart.
  • Lock to Open Range from "MR-Range Breakouts" - Shows the imbalance of volumes in the "Open Range" as well as for the "Expansion" of sellers or buyers.
"N" Bars History - Number of bars by default.
Show to "Expansion" of the Open Range - Shows the imbalance of volumes for "Expansion" of sellers or buyers, if the indicator "MR Range Breakouts" is loaded on the screen. This option works for all selection types of the indicator drawing modes.
Time Frame from "MR-Range Breakouts" - Here you need to specify what time frame you are using in the "MR Range Breakouts" indicator. By default it is "H4". If you use another time frame in the "MR Range Breakouts" indicator and do not specify it here, then the imbalance of volumes for the "Open Range" and "Expansion" will not be displayed.

Section "Visual Settings"
Color of Control Line(s) - You can choose a color for the control line(s).
Line style - You can select the drawing style for the control line(s).
Line width - You can select the drawing width for the control line(s).
Line(s) color of the Imbalance Volumes - You can choose the color of the imbalance of volumes line(s).
Color of Buyers Volumes - You can choose the color of the buyers volumes in the histogram.
Color of Sellers Volumes - You can choose the color of the sellers volumes in the histogram.

Section "Volume Data Text Settings"
Show Volumes Data information - Show or not show the text of information about the imbalance volumes.
Direction to show the information - You can choose on which side of the histogram to display text with information about the imbalance of buyers and sellers. Since the place for displaying the information is limited on the right, when there is also "Expansion" the information is displayed in an abbreviated form.
Text color of Buyers Volumes - You can choose the color of the text for buyers.
Text color of Sellers Volumes - You can choose the color of the text for sellers.
Points in 1 Pip - You can choose the number of Points in 1 Pip.
Volume Data Text position in Pips - You can choose the position in pips for displaying data text.
Volume Data Text font size - You can choose the data text size.
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Dies ist wahrscheinlich der vollständigste Indikator für die automatische Erkennung der harmonischen Preisbildung, den Sie für die MetaTrader-Plattform finden können. Es erkennt 19 verschiedene Muster, nimmt Fibonacci-Projektionen genauso ernst wie Sie, zeigt die potenzielle Umkehrzone (PRZ) an und findet geeignete Stop-Loss- und Take-Profit-Werte. [ Installationsanleitung | Update-Anleitung | Fehlerbehebung | FAQ | Alle Produkte ] Es erkennt 19 verschiedene harmonische Preisbildungen Dar
Malaysian SNR Levels
Matthias Horst Pieroth
This indicator can be used to display Support and Resistance levels according to  the  Malaysian SNR concept , in which Support and Resistance are exact levels of a line chart. Malaysian SNR There are 3 different horizontal levels in Malaysian SNR: A-Level : This level is located at the peak of this line chart. (shape looks like the letter A) V-Level : Level at the valley of a line chart, (shape looks like the letter V) Gap-Leve l: This level is located at the Close/Open gap between two cand
Native Channels
BeeXXI Corporation
5 (2)
This indicator recognizes all support and resistance levels. A number of unique high-performance techniques have been applied, which made the existence of this indicator possible. All formed channels are naturally visible: horizontal linear linear parabolic cubic (Polynomial 3 degrees - Wave) This is due to a bundle of approximating channels. The formed channels form "standing waves" in a hierarchical sequence. Thus, all support and resistance levels are visible. All parameter management is
RAD CRITICAL LEVES RAD indicator tracks “Relevant Volume” in real time, identifying accumulation and distribution processes, projecting them in the chart as SUPPORT or RESISTANCE zones. Natural   support   and resistance levels are generated by Volume Accumulation and Distribution processes. As these processes evolve, levels at which the relevant volume in the market place is positioned, become difficult areas to cross upwards or downwards. By using this information, traders can identify very s
Divergenzen sind schwierig zu finden und seltener anzutreffen. Sie sind eines der zuverlässigsten Handelsszenarien. Dieser Indikator sucht automatisch mit Ihrem bevorzugten Oszillator nach regelmäßigen und versteckten Abweichungen. [ Installationsanleitung | Update-Anleitung | Fehlerbehebung | FAQ | Alle Produkte ] Einfach zu handeln Findet regelmäßige und versteckte Abweichungen Unterstützt viele bekannte Oszillatoren Implementiert Handelssignale basierend auf Ausbrüchen Zeigt geeignete
Introduction to X3 Chart Pattern Scanner X3 Cherart Pattern Scanner is the non-repainting and non-lagging indicator detecting X3 chart patterns including Harmonic pattern, Elliott Wave pattern, X3 patterns, and Japanese Candlestick patterns. Historical patterns match with signal patterns. Hence, you can readily develop the solid trading strategy in your chart. More importantly, this superb pattern scanner can detect the optimal pattern of its kind. In addition, you can switch on and off individu
[ MT4 Version ] Backtesting Simulator Are you tired of spending months on demo or live accounts to test your trading strategies? The Backtesting Simulator is the ultimate tool designed to elevate your backtesting experience to new heights. Utilizing Metatrader historical symbol information, it offers an unparalleled simulation of real market conditions. Take control of your testing speed, test ideas quickly or at a slower pace, and witness remarkable improvements in your testing performance.
Big Player Range
Thalles Nascimento De Carvalho
5 (2)
Willkommen beim "BigPlayerRange"-Indikator, einem technischen Analysewerkzeug, das entwickelt wurde, um signifikante Interessensbereiche von Finanzinstituten auf den Märkten zu identifizieren. Dieser Indikator bietet eine präzise Analyse von Preisbereichen, in denen große Marktteilnehmer eine erhebliche Aktivität und Interesse zeigen. Hauptmerkmale: 1. Kartierung der Interessensbereiche von Institutionen: "BigPlayerRange" hebt genau die Bereiche im Chart hervor, in denen Finanzinstitute st
INDIKATOR basierend auf KÜNSTLICHER INTELLIGENZ, der mögliche Call- und Put-Eingaben für binäre Optionen generiert. Der Indikator funktioniert nach drei verschiedenen Strategien: 1) Durch das Ablesen der Volumina wird ein Signal gesendet, wann sich der Preis umkehren sollte 2) Durch die Divergenz zwischen Preis und Volumen sendet es ein Signal, wann sich der Trend fortsetzen oder umkehren sollte 3) Durch die Konvergenz zwischen Preis und Volumen sendet es ein Signal, wann sich der Trend
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Vahidreza Heidar Gholami
5 (2)
MetaForecast prognostiziert und visualisiert die Zukunft eines beliebigen Marktes basierend auf den Harmonien in den Preisdaten. Obwohl der Markt nicht immer vorhersehbar ist, kann MetaForecast, wenn es ein Muster im Preis gibt, die Zukunft so genau wie möglich voraussagen. Im Vergleich zu ähnlichen Produkten kann MetaForecast durch die Analyse von Markttrends genauere Ergebnisse erzeugen. Eingabeparameter Past size (Vergangene Größe) Gibt an, wie viele Balken MetaForecast verwendet, um ein Mo
Dieser Indikator ist ein perfekter automatischer Wellenanalyse-Indikator für den praktischen Handel! Die standardisierte Definition des Bandes ist nicht mehr eine Welle von verschiedenen Leuten, und das Ziehen von menschengemachten Interferenzen wird eliminiert, was eine Schlüsselrolle bei der gründlichen Analyse des Ansatzes spielt. =>Increase the choice of international style mode, (red fall green rise style)           Derzeit Kaufrabatt!   Inhalt des Index: 1.       Grundwelle:   Zue
Welcome to the world of SMC (Smart Money Concepts) Trading, where we empower traders with the tools and knowledge to make smarter trading decisions. Our latest addition to our suite of trading tools is the SMC Trading Pro indicator, version 1.0. Key Features: Major Market Structure Identification with BODY break. Order Block must be in Major Swing ( not Small Swing ). Order Block with Fair Value Gap Detection. Order Block in Discount | Premium zone. Filter for only Bullish, Bearish or All Order
VTrende Pro
Andrii Diachenko
5 (1)
VTrende Pro - MTF indicator for trend trading with a display panel for MT5 *** Videos can be translated into any language using subtitles (video language - Russian) Although the signals of the VTrende Pro indicator can be used as signals of a full-fledged trading system, it is recommended to use them in conjunction with the Bill Williams TS. VTrende Pro is an extended version of the VTrende indicator. Difference between Pro version and VTrende: - Time zones - Signal V - signal 1-2 waves
Good day! I present to you a trading technical indicator for Deriv broker synthetic indices. This indicator ONLY works with the following indices: Boom 300 Index Boom 500 Index Boom 1000 Index Crash 300 Index Crash 500 Index Crash 1000 Index The indicator was created to give signals to open medium-term trades in the direction of Spikes. But you can open trades in the opposite direction to Spikes, at your own risk. Trade only on M1. Other TFs do not guarantee the correct operation of the indic
Der Gann Square Indikator ist ein leistungsstolles Marktanalyse-Tool, das auf dem Artikel "Mathematische Formel für Marktvorhersagen" von W.D. Gann basiert. Dieses Tool verwendet mathematische Konzepte und Gann-Theorien für eine präzise Marktanalyse. Es beinhaltet Quadratwerte von 144, 90, 52 und auch das Quadrat von 9. Darüber hinaus integriert es die Methode von  zur Quadratwurzel von 9 und deren Beziehung zu Kanälen und dem Sternmuster. Benutzerhandbuch und Anwendung: Vor der Verwendung diese
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In the "Masters of Risk" trading system, one of the main concepts is related to places where markets change direction. In fact, this is a change in priority and a violation of the trend structure at the extremes of the market, where supposedly there are or would be stop-losses of "smart" participants who are outside the boundaries of the accumulation of volume. For this reason, we call them "Reversal Patterns" - places with a lot of weight for the start of a new and strong trend. Some of the imp
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" A trading range occurs when a financial instrument trades between constant high and low prices over a period of time. The upper part of the trading range of a financial instrument often provides price resistance, while the lower part of the trading range usually offers price support.  Traders can enter in the direction of a breakout or breakdown from a trading range... " This is the "Classical Theory" understanding of ranges. We have a different understanding of the nature of ranges and th
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In the "Masters of Risk" trading system, one of the main concepts is related to places where markets change direction. In fact, this is a change in priority and a violation of the trend structure at the extremes of the market, where supposedly there are or would be stop-losses of "smart" participants who are outside the boundaries of the accumulation of volume. For this reason, we call them "Reversal Patterns" - places with a lot of weight for the start of a new and strong trend. Some of the im
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Sergey Khramchenkov
5 (3)
The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
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Sergey Khramchenkov
5 (1)
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The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
We publish the indicator as a useful tool in trading and call this indicator the "Swiss Army Knife" because it provides many possibilities and combinations to help understand the material on the "Masters of Risk" trading system. The indicator itself is not part of the tools used in the "Masters of Risk" trading system. The indicator consists of 3 separate multi-timeframe indicators, which in combination with each other help to reduce the "noise" of false signals. The first of the indicators ar
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Sergey Khramchenkov
The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
We publish the indicator as a useful tool in trading and call this indicator the "Swiss Army Knife" because it provides many possibilities and combinations to help understand the material on the "Masters of Risk" trading system. The indicator itself is not part of the tools used in the "Masters of Risk" trading system. The indicator consists of 3 separate multi-timeframe indicators, which in combination with each other help to reduce the "noise" of false signals. The first of the indicators ar
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Version 1.4 2023.04.19
- Fixed some technical details related to the display of information about volumes in the "Expansion".