SMC Breakout Premium BuySell Indicator

 N/B: All our product purchase comes with our free ‘’DAILY  SCALPER EA’’

Whatsapp Developer for yours after successful purchase.

How Signals Are Generated - The Smart Money Logic

Core Concept: Volatility Contraction Patterns

The indicator identifies "Smart Money" accumulation/distribution zones using volatility analysis:

1. Detection Phase: Finding Quiet Accumulation Zones

```
When price volatility contracts (quiet period) → Smart Money accumulates
High Volatility → Noise & Distribution
Low Volatility → Smart Money Accumulation
```

How it works:

· Normalized Price: Converts price to 0-1 scale over last 100 bars
· Volatility Detection: Measures how much price is "compressing"
· Threshold: Looks for volatility < 15% of recent range (VolatilityThreshold = 0.15)
· Volume Confirmation: Checks if volume supports the pattern

2. Channel Formation: Drawing the Box

```
Box Detection Length = 14 bars → Looks for price contained within tight range
```

· Top/Bottom: Highest high and lowest low during detection period
· Strength Calculation:
  ```
  Strength Score = Duration (40%) + Volume (30%) + Low Volatility (30%)
  ```
  · Duration: How long price stayed in range (up to 40 points)
  · Volume: Strong volume delta (buying/selling pressure, up to 30 points)
  · Low Vol: Very low volatility during formation (up to 30 points)
  Minimum Strength: 50% (MinChannelStrength = 50.0)

3. Breakout Signal Generation

```
Signal = Strong Channel + Volume Confirmation + 1:2 Risk/Reward
```

Entry Conditions:

1. Price breaks channel top/bottom
2. Strong Close: If StrongClosesOnly=true, needs >50% candle body
3. Volume Delta: Checks if volume supports breakout direction
4. Risk/Reward: Automatically calculates 1:2 ratio

Entry Logic:

```
IF Bullish Breakout (above channel top):
   Entry = Current Close
   SL = Channel Center (middle of the box)
   TP = Entry + (2 × Channel Height)

IF Bearish Breakout (below channel bottom):
   Entry = Current Close  
   SL = Channel Center
   TP = Entry - (2 × Channel Height)
```

4. Reliability Factors (Why These Signals Work)

A. Volatility Cycle Theory

```
High Volatility → Consolidation → Low Volatility → Breakout → High Volatility
```

· Markets cycle between high and low volatility
· Smart Money accumulates during LOW volatility
· Retail traders notice during HIGH volatility (breakouts)

B. Volume Confirmation

```
Volume Delta = Buy Volume - Sell Volume during channel formation
```

· Positive delta in bullish channels
· Negative delta in bearish channels
· Gauge shows cumulative volume bias (-1 to +1 scale)

C. Multiple Timeframe Validation

The scanner checks:

· M15 (15-minute)
· M30 (30-minute)
· H1 (1-hour)
· H4 (4-hour)

Why multiple timeframes matter:

· H4 shows larger trend context
· H1/M30 show intermediate structure
· M15 shows precise entry timing
· Confluence = Stronger signal

D. Risk Management Built-in

```
Risk = |Entry - SL| (Distance to channel center)
Reward = 2 × Risk (Fixed 1:2 ratio)
Only signals with RR ≥ 2.0 shown on dashboard
```

5. What Makes These "Smart Money" Signals?

Traditional Technical Analysis Flaws:

· Most indicators lag (use past data)
· Breakouts often false (retail traders jump in late)
· Volume often ignored

This Indicator's Edge:

1. Pre-Breakout Detection: Finds zones BEFORE breakout
2. Volume-Weighted: Not just price action
3. Volatility Filtered: Avoids noisy, choppy markets
4. Time-Tested Pattern: Box/rectangle patterns are reliable across all markets

6. Real-World Example:

EURUSD H4 Chart:

```
1. Price consolidates for 14 bars (3.5 days)
2. Volatility drops to 12% (below 15% threshold)
3. Volume delta shows net buying (+0.7 on gauge)
4. Channel strength: 78% (strong)
5. Price breaks above channel top
6. Signal: BUY at 1.0850, SL at 1.0825, TP at 1.0900
7. Risk: 25 pips, Reward: 50 pips (1:2 RR)
```

7. Why This Works in Practice:

Psychological Factors:

· Retail Traders: Chase breakouts, get stopped out
· Smart Money: Accumulates quietly, triggers stops, then pushes price

Statistical Edge:

· Channels with >60% strength have higher success rate
· Volume-confirmed breakouts more reliable
· 1:2 RR means you only need 34% win rate to be profitable

8. Scanner Logic (Finding Best Signals):

The scanner:

1. Filters by Strength: Only channels >50% strength
2. Checks RR: Only 1:2 or better
3. Avoids Duplicates: One signal per currency pair
4. Ranks by Strength: Shows strongest 5 signals
5. Multi-Timeframe: Finds best opportunities across timeframes

9. Dashboard & Alerts:

Top 5 Signals Show:

· Only RR ≥ 2.0 signals
· Strongest channels first
· Volume delta confirmation
· Age of signal (fresher = better)

Chart Display:

· Last 3 signals shown as trendlines
· Color-coded (blue, green, orange)
· Entry/SL/TP clearly marked

10. Practical Trading Rules:

For Maximum Reliability:

1. Wait for confirmation: Don't enter on first touch
2. Check volume gauge: Should support direction
3. Use trailing stops: After 1R profit, move to breakeven
4. Avoid overlapping signals: Choose strongest one
5. Respect timeframes: H4 signals > H1 > M30 > M15

Conclusion - Why These Signals Are Reliable:

1. Quantifiable Edge: Mathematical volatility/volume analysis
2. Risk-Managed: Built-in 1:2 risk/reward
3. Multi-Filtered: Strength, volume, timeframe confluence
4. Psychology-Based: Captures Smart Money vs. Retail behavior
5. Backtestable Pattern: Box/rectangle patterns proven across decades

This isn't guessing - it's identifying measurable market structure where institutional money accumulates before major moves. The combination of volatility contraction, volume confirmation, and proper risk management creates a systematic edge over random trading.

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Daniel Stein
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FX Power : Analysez la force des devises pour des décisions de trading plus intelligentes Aperçu FX Power est l'outil essentiel pour comprendre la force réelle des principales devises et de l'or, quelles que soient les conditions du marché. En identifiant les devises fortes à acheter et les faibles à vendre, FX Power simplifie vos décisions de trading et révèle des opportunités à forte probabilité. Que vous suiviez les tendances ou anticipiez les retournements à l'aide de valeurs extrêmes de D
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Ottaviano De Cicco
5 (1)
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SkyHammer Signal Pro Indicateur professionnel de signaux de tendance sans repaint, avec niveaux Entry, SL et TP verrouillés SkyHammer Signal Pro est un indicateur de tendance et de momentum structuré, conçu pour les traders qui recherchent des signaux clairs, fixes et vérifiables. Il fonctionne le mieux sur les timeframes courts, comme M1 et M5 . L’indicateur ne cherche pas à prédire les sommets ou les creux du marché. Il attend plutôt une structure de marché confirmée, une direction de tendance
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Davit Beridze
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DayTrader PRO DayTrader PRO est un indicateur de trading avancé qui combine le filtre Laguerre de John Ehlers avec un puissant moteur d'auto-optimisation. Au lieu d'utiliser des paramètres fixes, l'indicateur recherche automatiquement les meilleurs réglages en fonction des conditions récentes du marché, vous aidant à vous adapter à la volatilité changeante sans ajustements manuels constants. L'indicateur génère des signaux clairs d'ACHAT (BUY) et de VENTE (SELL), accompagnés de niveaux de Stop L
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5 (4)
BTMM State Engine Pro is a MetaTrader 5 indicator for traders who use the Beat The Market Maker approach: Asian session context, kill zone timing, level progression, peak formation detection, and a multi-pair scanner from a single chart. It combines cycle state logic with a built-in scanner dashboard so you do not need the same tool on many charts at once. What it does Draws the Asian session range; session times can follow broker server offset or be set in inputs. Tracks level progression (L
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Ottaviano De Cicco
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Azimuth Pro V2: Synthetic Fractal Structure and Confirmed Entries for MT5 Overview Azimuth Pro is a multi-level swing structure indicator by Merkava Labs . Four nested swing layers, swing-anchored VWAP, ABC pattern detection, three-timeframe structural filtering, and closed-bar confirmed entries — one chart, one workflow from micro-swings to macro-cycles. This is not a blind signal product. It is a structure-first workflow for traders who care about location, context, and timing. ️ Summer Sale
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Muhammad Elbermawi
5 (10)
L'indicateur Berma Bands (BB) est un outil précieux pour les traders qui cherchent à identifier et à capitaliser sur les tendances du marché. En analysant la relation entre le prix et les BB, les traders peuvent déterminer si un marché est dans une phase de tendance ou de range. Visitez le [ Berma Home Blog ] pour en savoir plus. Les bandes de Berma sont composées de trois lignes distinctes : la bande de Berma supérieure, la bande de Berma moyenne et la bande de Berma inférieure. Ces lignes sont
Trade smarter, not harder: Empower your trading with Harmonacci Patterns This is arguably the most complete harmonic price formation auto-recognition indicator you can find for the MetaTrader Platform. It detects 19 different patterns, takes fibonacci projections as seriously as you do, displays the Potential Reversal Zone (PRZ) and finds suitable stop-loss and take-profit levels. [ Installation Guide | Update Guide | Troubleshooting | FAQ | All Products  ] It detects 19 different harmonic pric
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Zaha Feiz
4.69 (55)
AtBot : Comment ça fonctionne et comment l'utiliser ### Comment ça fonctionne L'indicateur "AtBot" pour la plateforme MT5 génère des signaux d'achat et de vente en utilisant une combinaison d'outils d'analyse technique. Il intègre la Moyenne Mobile Simple (SMA), la Moyenne Mobile Exponentielle (EMA) et l'indice de la Plage Vraie Moyenne (ATR) pour identifier les opportunités de trading. De plus, il peut utiliser des bougies Heikin Ashi pour améliorer la précision des signaux. Laissez un avis ap
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5 (6)
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