Advanced Multi Formula Pivot Points Indicator

Advanced Multi-Formula Pivot Points

Master the Markets with Precision Support and Resistance Levels.

Take your technical analysis to the next level with the Advanced Multi-Formula Pivot Points indicator. Unlike standard pivot tools, this professional-grade indicator offers a robust suite of mathematical models, including a unique Hybrid Formula that blends multiple calculation methods for unmatched market confluence.

Whether you are a scalper looking for intraday reversals or a swing trader tracking monthly ranges, this tool provides clear and actionable levels to ensure you never miss a breakout.

KEY FEATURES

  • Multiple Calculation Methods: Choose between Standard (Classic), Fibonacci, Camarilla, Woodie, and DeMark pivots.
  • Exclusive Hybrid Mode: Create a custom weighted average of Standard, Fibonacci, and Camarilla levels to find "true" market confluence.
  • Multi-Timeframe Flexibility: Calculate and display Daily, Weekly, or Monthly pivots on any chart timeframe.
  • Historical Analysis: View up to 10 past periods (customizable) to identify recurring historical price reactions.
  • Custom Multipliers: Total control over level spacing. Tighten or widen R1-R4 and S1-S4 levels using decimal multipliers (e.g., 1.2 for 20% wider levels).

HOW TO USE THE HYBRID FORMULA

The Hybrid Formula is a powerful tool for finding high-probability zones. By default, it is set to:

  • Standard Weight: 40%
  • Fibonacci Weight: 30%
  • Camarilla Weight: 30%

This creates a "Confluence Line" that represents the average of the three most popular trading formulas, often acting as a magnet for price action.

INPUT PARAMETERS

Pivot Settings

  • Timeframe for Pivot Calculation: Select Daily, Weekly, or Monthly.
  • Pivot Calculation Formula: Choose your preferred mathematical model (Standard, Fibonacci, Camarilla, Woodie, DeMark, or Hybrid).
  • Number of Past Periods to Show: Control how many historical pivot sets are drawn on the chart.

Hybrid Formula Settings

  • Standard/Fibonacci/Camarilla Weights: Define the influence of each formula when using the Hybrid mode (Total should ideally equal 1.0).

Custom Multipliers

  • R1-R4 / S1-S4 Multipliers: Default is 1.0. Increase (e.g., 1.5) to extend levels or decrease (e.g., 0.5) to tighten them relative to the main pivot.

Visual Settings

  • Display Settings: Fully customizable colors for Pivot, Support, and Resistance lines.
  • Show Level Labels/Prices: Toggle the visibility of text labels and price tags next to lines.

ABOUT THE DEVELOPER

RAYLURKS FX specializes in high-performance trading tools designed for the modern MQL5 environment. For support, setup guides, feature requests, troubleshooting, or to explore my other trading utilities please visit my profile and send me a direct message—I am happy to assist you in optimizing your trading setup : RAYLURKS FX MQL5 Profile

 

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SmartRR Visual Planner is a high-performance utility designed to eliminate manual calculations and human error from your trading workflow. Built for speed and precision, it allows you to visually map out trades using a drag-and-drop interface while providing real-time professional risk metrics. KEY FEATURES 1. Interactive Visual Planning Stop guessing your levels. With one click, the tool generates three distinct, selectable lines (Entry, Stop Loss, and Take Profit) directly on your chart. Seaml
OrderFlow Supply and Demand Pro: Institutional Liquidity Engine The OrderFlow Supply and Demand Pro is a high-performance analytical engine designed to pinpoint institutional footprint on your charts. By combining algorithmic price action filters with a real-time pressure engine, this tool identifies high-probability liquidity zones where large-scale market participants are likely to re-enter the market. Core Institutional Logic Our proprietary detection system filters out market "noise" by enfo
Master Your Portfolio Risk with Institutional-Grade Analysis Are you trading multiple currency pairs, gold, and indices without knowing how they move together? Correlation is the silent account killer. When assets become highly correlated, your risk doubles, and your diversification becomes an illusion. The Multi-Asset Correlation Matrix is a professional-grade decision-making dashboard designed for traders who manage complex portfolios. It doesn't just show numbers; it provides a statistical
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