Swing Failure Pattern Alpha MT5

Swing Failure Pattern MT5

Systematic Structural Reversal and Liquidity Sweep Identification Engine

The Swing Failure Pattern indicator for MetaTrader 5 provides an objective analytical framework designed to identify high-probability structural reversals resulting from liquidity sweeps. Intraday traders frequently enter breakout positions as price reaches a new swing extreme, only for the market to fail acceptance and abruptly reverse, triggering stop losses on false expansions.

This software algorithmically identifies when price breaches a prior swing high or low but fails to maintain acceptance, signaling momentum exhaustion and institutional re-accumulation or distribution. The indicator confirms structural reclamation strictly upon candle close, filtering out low-conviction noise and delivering fully non-repainting execution references.


Algorithmic Logic and Trade Validation

The calculation engine operates exclusively on closed bar data. Historical signal markers remain anchored to their respective price bars and do not recalculate, shift, or repaint over time.

Bullish Reversal Setup (BUY)

  • Liquidity Sweep: Price tests below a prior structural swing low but fails to sustain acceptance.
  • Structural Reclamation: A dominant bullish expansion candle reclaims the prior structural level and closes firmly higher, confirming buying control.
  • Execution Reference: Confirmation is locked strictly at the setup candle close. The opening price of the immediate subsequent bar serves as the operational execution reference.

Bearish Reversal Setup (SELL)

  • Liquidity Sweep: Price tests above a prior structural swing high but fails to sustain acceptance.
  • Structural Reclamation: A dominant bearish expansion candle reclaims the prior structural level to the downside and closes firmly lower, confirming selling dominance.
  • Execution Reference: Confirmation is locked strictly at the setup candle close. The opening price of the immediate subsequent bar serves as the operational execution reference.

Integrated Risk Architecture and Target Ladder

Rather than providing isolated directional arrows, the indicator projects an end-to-end trade execution structure directly onto the active chart:

  • Dynamic Structural Invalidation (Stop Loss): The Stop Loss reference is automatically anchored outside the recent swing extreme formed by the sweep, incorporating a configurable volatility buffer to accommodate standard spread variations and short-term market noise.
  • Standardized 4-Tier R-Multiple Targets: Profit objectives are mathematically projected based on the initial calculated risk distance (1R):
    • TP1 (0.5R): Initial objective configured for early partial scale-outs on immediate momentum follow-through.
    • TP2 (0.8R): Intermediate milestone capturing standard continuation swings.
    • TP3 (1.2R): Extended target capturing broader trending impulse waves.
    • TP4 (2.0R): Full expansion runner target designed to capture extended directional trend moves.
  • Lifecycle State Tracking: Each projected setup is tracked on-chart with dedicated real-time lifecycle states (Active, TP Hit, SL Hit).

Analytical Modules and Dashboard Capabilities

Multi-Symbol & Multi-Timeframe Scanner Dashboard

  • Monitors multiple assets simultaneously across standard timeframes: M15, M30, H1, H4, and D1.
  • Active Signal Discovery: Scans and displays active BUY and SELL setups across all monitored symbols from a single workspace.
  • Signal Status Tracking: Displays real-time progress of active setups (active, approaching TP, approaching SL).
  • Higher Timeframe Confluence: Validates directional alignment between lower-timeframe execution triggers and higher-timeframe trends.
  • Market Bias Summary: Provides an integrated directional reading (UP, DOWN, or FLAT) derived from the indicator's trend filter.
  • One-Click Chart Navigation: Clicking any dashboard cell immediately switches the active chart to the selected symbol and timeframe.

Whipsaw Mitigation Engine (Signal Brake)

  • Suppresses rapid, alternating BUY/SELL flip-flopping within tight consolidation ranges.
  • Restricts redundant same-direction signals while a prior setup remains active.
  • Enforces a minimum structural R-distance before a new setup in the same direction can trigger.

On-Chart Historical Backtest Panel

  • Summarizes historical performance metrics for the currently applied settings directly on the chart:
  • Historical hit-rate breakdown across TP1, TP2, TP3, and TP4.
  • Sample size display over the configured historical lookback period.
  • Highlights the historically optimal target tier for the active configuration.
  • Integrated sample-size indicator to assist in judging statistical relevance.

Statistical Notice: Historical distribution figures reflect past price data under specific settings. Past results do not guarantee future performance.

Multi-Channel Alert Architecture

  • MetaTrader 5 desktop pop-up notifications.
  • Audible sound alerts (.wav).
  • Instant push notifications sent to mobile devices via MetaQuotes ID.

Non-Intrusive Graphic Interface

  • Three size presets: Small (S), Medium (M), and Large (L).
  • One-click minimize and expand toggle.
  • Draggable control panel that preserves custom chart coordinates across timeframe changes.

Operational Specifications

  • Recommended Assets: Highly liquid instruments including major currency pairs, spot commodities, and major stock indices during active sessions.
  • Recommended Timeframes: M15, M30, and H1 provide balanced structural clarity and liquidity definition.
  • Broker Environment: Compatible with both Netting and Hedging accounts. Low-spread ECN/Raw trading accounts are recommended to maximize target realization fidelity.

Support and Free Demo

  • A free demo version can be evaluated directly in the Strategy Tester and on demo charts through the standard MQL5 Market demo feature.
  • For setup questions or technical support, please send a message through the author's MQL5 profile.
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