GravityField

GravityField 2.0 — Multi-Timeframe Newtonian Force Indicator

What if price had gravity?

Every FVG imbalance and swing liquidity level pulls price toward it — just like mass attracts mass. GravityField 2.0 measures that pull using Newton's inverse-square law (F = G·m/r²): the bigger the zone, the closer the price, the stronger the force. The indicator combines all active zones across 19 timeframes simultaneously and delivers a single net reading: which direction is price being pulled right now, and how hard.

This is not pattern recognition. It does not redraw. It computes physics.

What you get on your chart

A separate indicator window with four lines:

  • NetForce  histogram (blue/red) — the raw gravitational pull of all zones at this exact moment. Blue = net pull upward. Red = net pull downward. Bar height = intensity.
  • ForceSignal  (gold) — a smoothed EMA of NetForce. Filters noise. Watch for crossovers with zero.
  • NetImpulse  (aqua) — the accumulated force over the last N bars. This is momentum: where has the net pull been going recently?
  • ImpulseSlope  (black) — the rate of change of Impulse. Rising = momentum building. Falling = fading.

On the main chart: zone boxes color-coded by mass (green = light, yellow = medium, red = heavy), a dominant gravity target line (the highest-mass zone — a natural TP candidate), and BUY/SELL signal arrows.

A live panel shows Force, Impulse, Slope, Regime, Dominant price, and active mass count.

The regime system — BIND vs ESCAPE

Borrowed directly from orbital mechanics. If price is moving slower than the escape velocity of the gravitational field, it stays trapped: BIND = mean-reverting conditions. If price breaks escape velocity, it has left the gravitational field: ESCAPE = trending conditions.

This tells you how to trade the signal. In BIND regime, fade extremes and target the Dominant zone. In ESCAPE, trade with the force direction and trail.

BUY / SELL signals

A signal fires only when Impulse direction and Slope direction agree simultaneously — when accumulated force and its acceleration point the same way. Signals are transition-based: the same direction does not re-fire until it resets to neutral. This prevents signal spam.

Signals can optionally trigger alerts, push notifications, and sound.

Multi-timeframe architecture

Zones from all 19 timeframes (M1 through D1) are grouped into 8 clusters. Each cluster carries a different base weight using the golden ratio (φ): M1–M3 is the lightest, D1 is the heaviest. A D1 FVG dominates the gravitational field the way Jupiter dominates the solar system — but a nearby M5 FVG at close range still matters because of the inverse-square law. You control exactly which timeframes contribute. Disable what you don't need.

Cluster Timeframes Weight
1 — Micro M1, M2, M3 ×1.0
2 — Low1 M4, M5, M6, M10 ×1.6
3 — Low2 M12, M15, M20 ×2.6
4 — Mid1 M30, H1 ×4.2
5 — Mid2 H2, H3 ×6.9
6 — Upper1 H4, H6 ×11.1
7 — Upper2 H8, H12 ×17.9
8 — Macro D1 ×29.0

Session filtering

All calculations are session-aware. You define up to 6 killzones by NY time. ATR, FVG sourcing, liquidity sourcing, and signal generation each have independent session toggles. Run the indicator clean during your session, carry values outside it.

No repainting. No future leak.

FVGs are confirmed on bar close. Liquidity levels require Swing_Strength bars on each side before confirming. No zone is used before its formation bar closes.

Why GravityField uses a custom ATR — not iATR

The standard ATR built into MetaTrader uses True Range: the maximum of (high−low), |high−prev_close|, and |low−prev_close|. This means overnight gaps and weekend gaps count as volatility. A Monday gap on EURUSD inflates the standard ATR for the entire week — with noise you weren't trading through.

GravityField uses a purpose-built Session ATR with three deliberate differences:

1 — High minus low only, no True Range.
Gap between Friday close and Monday open is not volatility you can trade. Session ATR measures only the bar's actual traded range: high − low. This gives a cleaner reading of intrabar movement.

2 — Session-bound calculation.
Session ATR only counts bars that fall inside your active ATR killzone. The moment a bar lands outside the session, the calculation stops at the boundary. It does not look across the gap to the previous session. Each session's ATR reflects only that session's conditions.

3 — Out-of-window hold.
When price is outside the ATR session (overnight, weekend, off-hours), Session ATR carries the last known value forward unchanged. It does not decay or reset — it waits for the next session bar.

Why this matters for the physics:

Every distance and mass calculation normalizes by ATR:

r = |zone_mid − current_price| / ATR

This is the "distance" a zone is from price, expressed in units of current volatility. A gap-inflated ATR makes every zone appear artificially closer in normalized space, weakening its gravitational pull incorrectly. Session ATR gives a volatility unit that reflects only the market conditions you are actually trading in — making force readings consistent and comparable across different instruments and sessions.

Standard ATR measures how much the market moved including gaps. Session ATR measures how much the market traded during your hours. For a physics model built on intraday price structure, the second number is the one that matters.

Parameter guide

Every parameter has a physical or statistical reason. None are arbitrary knobs.

Recommended settings by trading style:

Parameter Scalping (M1–M5) Intraday (M15–H1) Swing (H4–D1)
Active clusters 1–3 All (1–8) 4–8
MTF_Bars 150–200 250–350 200–300
FVG_Decay_TFbars 25–35 40–55 60–90
Liq_Decay_TFbars 20–30 35–45 50–70
Impulse_Window 15–20 25–35 40–60
Slope_Bars 8–12 12–18 20–30
Calc_Bars 390–600 1170 500–800

Individual parameter explanations:

  • Base_TF  — The reference timeframe for ATR and physics. M1 is recommended for all chart types: it gives the finest-grain ATR and ensures force is computed against the most up-to-date price.
  • MTF_Bars  — How many bars back each timeframe scans for FVG and liquidity sources. Higher = more historical zones = heavier computation. 300 is the balanced default.
  • FVG_Decay_TFbars  — How many bars of that timeframe before an FVG loses half its mass. A D1 FVG decays far slower than an M5 FVG. This parameter is in that timeframe's own bars — so 50 on D1 means 50 trading days; 50 on M5 means 250 minutes.
  • Liq_Decay_TFbars  — Same decay logic for liquidity levels. Liquidity tends to refresh faster than FVGs, so setting this slightly lower (e.g. 40 vs 50) is typical.
  • MinGap_ATR  — Minimum FVG size to qualify as a mass source, expressed in ATR units. Keeps micro-noise out of the calculation. Leave at 0.05 unless your instrument has unusually thin candles.
  • Softening_Floor_ATR  — Prevents infinite force when price sits exactly on a zone center. Leave at default (0.10) unless you see extreme spikes.
  • Impulse_Window  — How many NY-session bars to sum for the Impulse reading. Larger = slower, more stable. Smaller = faster, more reactive.
  • Slope_Bars  — The lookback for the linear regression slope of Impulse. Minimum 2 (simple difference). 15 is the balanced default for intraday.
  • Velocity_Period  — How many Base_TF bars to use for measuring current price velocity (for escape velocity calculation). 5–10 is typical.
  • Max_Masses  — Memory limit for mass objects. At 8000 (default) you will never hit this on normal instruments. On very active symbols with all TFs enabled, increase to 12000 if the Experts log shows a warning.

Compatible with

Any liquid instrument. Best performance on FX majors (EURUSD, GBPUSD, USDJPY, XAUUSD) with NY session killzones active. Crypto works — disable session filters or widen killzones to cover 24h hours.

Honest limitations

GravityField measures the current gravitational landscape — it does not predict price. A strong upward force means price is being pulled toward zones above, not that it will definitely reach them. Use it to understand context and confluence, not as a standalone entry trigger. The Dominant line is the highest-mass zone, making it a natural magnet for price, but it requires your own confirmation before trading toward it.

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AriX Indicator for MT5 A powerful trend-following and signal-evaluation tool AriX is a custom MT5 indicator that combines Moving Averages and ATR-based risk/reward logic to generate clear buy/sell signals. It visualizes dynamic SL/TP levels, evaluates past trade outcomes, and displays win/loss statistics in a clean on-chart panel. Key features include: Buy/Sell signals based on MA crossovers ATR-based SL/TP1/TP2/TP3 levels with visual lines and labels Signal outcome tracking with real-time stat
CGE Trading Suite
Carl Gustav Johan Ekstrom
5 (2)
Institutional-Grade Analytics for MT5 C GE Trading Suite delivers the analytical edge typically reserved for professional trading desks. The platform integrates a full suite of analytical tools into one seamless workflow: dynamic grid mapping, liquidity behavior analysis, ECM, trend lines, MIDAS, trade cycles, and directional channel projections. Together, these provide a unified view of market structure and momentum. Directional clarity is further enhanced by the capital flow index, which meas
First time on MetaTrader, introducing IQ Star Lines - an original Vedic Astrology based indicator. "Millionaires don't use astrology, billionaires do" . - J.P. Morgan, Legendary American financier and banker. Welcome to  the new and updated  IQ Star Lines , the ultimate fusion of ancient planetary harmonic cycles and modern quantitative trading. published for the   first time on Metatrader. This is an indicator built by the developer, who has spent almost 2 decades trading while studying Vedic
How to use Pair Trading Station Pair Trading Station is recommended for H1 time frame and you can use it for any currency pairs. To generate buy and sell signal, follow few steps below to apply Pair Trading Station to your MetaTrader terminal. When you load Pair Trading Station on your chart, Pair Trading station will assess available historical data in your MetaTrader platforms for each currency pair. On your chart, the amount of historical data available will be displayed for each currency pai
Big Player Range
Thalles Nascimento De Carvalho
5 (3)
BigPlayerRange – Il miglior indicatore per MT5 BigPlayerRange è considerato il miglior indicatore per Mini Indice e Mini Dollaro su MetaTrader 5. Questo strumento essenziale evidenzia le zone strategiche di azione dei grandi player, offrendo un’analisi tecnica istituzionale di altissima precisione. Come usare BigPlayerRange: Questo indicatore mostra zone di acquisto (linea verde) e di vendita (linea rossa). Quando il prezzo chiude fuori da queste aree, è probabile un movimento di tendenz
QuasarEdge
Yuki Miyake
1 (1)
[Special Limited Price] Release Commemoration Sale! Currently available at a special price to celebrate its release. The price will revert to normal without notice after a certain period or sales volume. Don't miss this chance to get a pro-level trading environment at the lowest price! Quasar Edge & Dual Dashboard ~ Transform the "chaos" of 28 pairs into "confident profits" with the ultimate MT5 market structure system ~ The reason many traders lose isn't due to indicator performance, but
Rilevatore intelligente multistrato di breakout e pullback per MetaTrader 5 "Intelligente. Semplice. Veloce!" Sei stanco di perdere entrate su breakout ad alta probabilità? Passi ore a scansionare più grafici, cercando di allineare i breakout con la direzione del trend e il momentum delle valute — solo per perdere il movimento? Break Pullback risolve tutto questo con un solo indicatore. Cos'è Break Pullback? Break Pullback è un indicatore MetaTrader 5 di livello professionale, progettato speci
Chimera Volume
Marko Milenkovic
CHIMERA VOLUME – L'Inertia Engine Algoritmico per MT5 Smetti di inseguire il prezzo in ritardo. Identifica l'evento radice prima che si sviluppi il trend. La maggior parte degli indicatori retail fallisce perché analizza solo il movimento grafico, ignorando la causa primaria: la propagazione del volume istituzionale. Chimera Volume è un motore algoritmico avanzato progettato per mappare l'inerzia e l'accumulazione reale dei flussi volumetrici normalizzati, pulendo il rumore di fondo dei mercati.
L'indicatore " Dynamic Scalper System MT5 " è progettato per il metodo di scalping, ovvero per il trading all'interno di onde di trend. Testato sulle principali coppie di valute e sull'oro, è compatibile con altri strumenti di trading. Fornisce segnali per l'apertura di posizioni a breve termine lungo il trend, con ulteriore supporto al movimento dei prezzi. Il principio dell'indicatore. Le frecce grandi determinano la direzione del trend. Un algoritmo per generare segnali per lo scalping sott
Triple Crox Strategy v4.10 Triple Crox Strategy v4.10 Professional MetaTrader 5 Indicator 13 Patterns • Fibonacci • CLUSTER ML • Multi-Filter 1. Overview Advanced MT5 indicator combining 13 Pattern Detection , Fibonacci Analysis , CLUSTER Machine Learning and Multi-Filter system for precise signals on Forex, indices, commodities, crypto. 5-step pipeline: indicators → filter → patterns → signals → levels. 2. Trading Setup Heikin-Ashi colored bars. Buy/Sell arrows with Entry, TP1(1x ATR), TP2(2x
The Zain GOLD indicator
Haitham Gamal Abdelnaser Mohamed
Specializing in (All brokers supported): Professional Trading Tools Want the same tools used by professional traders? Get them now and start dominating the markets! Join our premium communities for free: Specializing in (All brokers supported): Gold (XAUUSD) - Unmatched accuracy Forex Pairs - Comprehensive global market coverage Binary Options - Highly accurate signals ️ Synthetic Derivatives - Trade pairs using Drive Cryptocurrencies - Professional cryptocurrency trad
Hidden Trend Channel Project 17 Tool SPECIAL NOVEMBER SALE is now finished. Price goes back to normal.  This is an Automated Tool for Multi Timeframe Trend Channel Analysis Visualization with Intelligent Range Market, Trending Market, Reversal, Breakout Detection.  It draws multiple Trend Channels with multiple sub-trendlines levels inside the channel for perfectly give you the trader, the crystal clear Trend channels where price trend direction is moving. This tool is accurately useful for T
OrderFlow Absorption – Indicatore professionale di Delta e Segnali di Assorbimento per MT5 Sblocca la potenza della vera analisi del flusso degli ordini con OrderFlow Absorption – l’indicatore definitivo di istogramma delta e segnali di assorbimento per MetaTrader 5. Progettato per i trader che vogliono vedere cosa succede davvero dietro ogni movimento di prezzo, questo strumento rivela la pressione nascosta di acquisto/vendita e gli eventi di assorbimento che muovono il mercato. Caratteristiche
Btcusd Pro
Metin Erkamoglu
BTCUSD PRO Signal Solution for MT5 BTCUSD PRO is a decision-support indicator for MetaTrader 5, designed for traders who analyze BTCUSD or BTCUSD# with a structured signal workflow. The product is not an automated trading system. It does not open, close, or manage trades automatically. It provides analytical buy and sell signal information and displays a visual trade plan on the chart so the user can make their own trading decisions. Main purpose BTCUSD PRO is designed for traders who prefe
Scalping Winning Signals Pro SWS
Muhammad Usman Siddique
5 (1)
UZFX SWS {Scalping Winning Signals} Pro v1.0 è un potente indicatore non ridipingente sviluppato da Usman Zabir (UZFX LABS) appositamente per scalper, day trader e swing trader alla ricerca di segnali di ingresso precisi in mercati in rapido movimento. Ideale per i trader che richiedono segnali affidabili e in tempo reale senza ritardi o false ridipinture. I MIEI INTERVALLI DI TEMPO CONSIGLIATI*: 30 M E OLTRE. {1H} È IL MIO PREFERITO. E I RISULTATI SONO SORPRENDENTI...! Nota: combinatelo con l'
Aiuta a determinare se questo punto è adatto per acquistare. Aiuta a determinare se questo punto è adatto per vendere. Quando tutti e quattro gli indicatori raggiungono contemporaneamente il fondo, occorre concentrarsi sulle opportunità di rimbalzo. Quando tutti e quattro gli indicatori si trovano contemporaneamente nella parte alta, occorre concentrarsi sulle opportunità di ribasso. Questo sistema è costruito sulla base di avanzate tecnologie algoritmiche cinesi e di una struttura di modellazio
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