DaySwingPro Institutional

DaySwingPro Institutional — Multi-Factor Day & Swing Trading Engine

Confluence-based BUY/SELL signals with institutional risk management, Smart Money Concepts and a live HUD — engineered with a strict zero-repaint architecture.

What is it for?

DaySwingPro Institutional is built for day and swing traders who hold positions from one day to several weeks (recommended timeframes: H1, H4, D1). Instead of firing arrows on every minor fluctuation, it waits for the trend, momentum and market structure to align, then issues a single high-quality signal complete with Stop Loss, Take Profit 1, Take Profit 2 and a recommended lot size.

It works on any symbol: Forex, Gold, Indices and Crypto.

Strategy type

A trend-continuation, multi-factor confluence system:

  1. Trend structure (3 pts) — Triple EMA matrix (20 / 50 / 200). Price must trade on the right side of the slow EMA with stacked fast/medium EMAs.
  2. Momentum (2 pts) — RSI(14) must cross its 50 midline with strength while staying inside dynamic overbought/oversold bounds.
  3. Trigger (2 pts) — Close crossing the fast EMA confirms timing.
  4. Smart Money Concepts (3 pts) — Bullish/bearish Break of Structure (BOS) plus Fair Value Gap (FVG) zones drawn directly on the chart.

Each setup scores 0–10 points, converted into a 1–5 star quality rating. Three profiles filter the flow:

  • Conservative — score ≥ 8 (maximum selectivity)
  • Balanced — score ≥ 6 (recommended)
  • Aggressive — score ≥ 4 (more signals)

Key features

  • ATR-based trade plan on every signal — SL (1.5×ATR), TP1 (2.0×ATR), TP2 (3.5×ATR), all normalized to tick size and validated against broker stop/freeze levels.
  • Position size calculator — recommended lot based on account equity and your risk % per trade, snapped to the broker's lot step.
  • Live institutional HUD — market bias, confluence score with stars, ATR, recommended lot, SMC state, backtest statistics and bar-1 diagnostics; draggable anywhere on the chart.
  • Backtest-friendly — built-in TP1/SL hit-rate statistics, one-click signal export to CSV, and full  iCustom  support (buf0=BUY, buf1=SELL, buf2=SL, buf3=TP1, buf4=TP2) for EA development and Strategy Tester validation.
  • Clean execution modes — Lite (arrows + levels only), Pro (full HUD), Institutional (HUD + SMC + advanced risk).
  • Alerts — terminal pop-up and mobile push notifications, fired once per confirmed closed bar.

Zero-repaint guarantee

  • All signals, scores and SL/TP levels are evaluated exclusively on closed bars (i ≥ 1); bar 0 is always forced to  EMPTY_VALUE .
  • New-bar detection via strict  iTime()  synchronization; BOS/FVG logic uses only historical bars with bounds checking.
  • Signal spacing is time-based (not index-based), so arrows can never shift, move or disappear — in live trading, on reload, or in the Strategy Tester.

Notes

  • Past performance does not guarantee future results. Always test on demo first and respect your risk management.
  • Recommended: Balanced profile on H4 for swing trading, Aggressive on H1 for active day trading.

COPYRIGHT 2026 — CODE4TRADING, GORI GERMAN PABLO

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