Tudas by Argus UP

The package consists of two MetaTrader 5 indicator files that are normally placed together on the chart:
  • TudasInstantAnalysis.mq5 — the "top" indicator, drawn over price on the main chart.
  • TudasDownCombined.mq5 — the "bottom" indicator, an independent subwindow below the chart.
The logic has been calibrated, and continues to be calibrated, against real XAUUSD data.


Part 1 — Top Indicator: TudasInstantAnalysis.mq5


1.1 EMA Ribbon — moving-average ribbon

Trend "by eye" on candles is easy to confuse with a pullback: you end up trading against the move right when a local correction looks like a reversal.
The ribbon removes that subjectivity: four EMAs (20, 50, 100, 200) are colored automatically based on their direction.
  • Green — the line is rising (slope faster than InpFlatATR ×ATR per bar).
  • Red — falling.
  • Yellow — sideways, slope within the threshold.
  • Line thickness increases with the period: EMA20 is the thinnest, EMA200 the thickest.
  • Semi-transparent clouds fill the space between neighboring lines: green when the upper EMA sits above the lower one, red when it's the other way around

How to read trend strength: the 4 lines fan out to the same side and the clouds share the same color — a strong, stable trend. The lines weave together and flip color often — the market is sideways, better to skip signals.
Simple idea: price pulls back to a green EMA — wait for a buy signal from another module in the package (mirror for red). Works best with the trend or in a flat market; against the trend, take short targets only or skip the signal.
1.2 Price Channel(PriceChannel)
An entry "out of thin air", with no relation to structure — it's unclear exactly where you went wrong if the trade didn't work out.
The linear-regression channel over the last InpLength bars (50 by default) gives an entry from the edge, not from nowhere: three lines — mean (solid) + upper/lower (dashed), width = ± InpMult ×standard deviation.

  • Green (BULL) / Red (BEAR) / Yellow (FLAT) — based on the regression slope, normalized and compared against the InpThreshold threshold.
  • Label in the chart corner: PriceChannel: BULL/BEAR/FLAT slope X.XX .
  • Wide channel = high volatility/strong trend. Narrow channel = calm before an impulse — the market "coiling like a spring".


How to read it: the channel edges act as support/resistance; after a breakout, the middle line usually switches roles. The channel's direction filters out false signals against the trend.
Simple idea: price at the green lower edge — wait for Buy; at the red upper edge — wait for Sell. Against the channel's direction, signals are weaker.

1.3 Support/Resistance Zones 

Hand-drawn levels — different ones today, different ones tomorrow, and stops pile up right where you drew yesterday's line.
The indicator finds levels on its own, from confirmed swing pivots over the last SRZ_InpLookback bars (5000 by default), and updates them without trader intervention.
  • Green — support, red — resistance.
  • Weak zone — thin dashed line (1 touch). Strong zone — thick solid line + rectangular fill ( InpStrongTouches =2+ touches) — the key levels to watch first. Label next to the line: STRONG/WEAK RESISTANCE/SUPPORT ZONE price (±% of current) .
  • Broken zones aren't deleted — they remain as a dotted line with the historical memory of the level, not just "the level disappeared".
  • Nearby price touches (radius broken price label — a InpTouchPts ) merge into a single zone instead of duplicating — the touch counter grows, the zone stays one.

How to read it: price moves from level to level. Open a position from a strong level, and place the target before reaching the next strong level, not right on it. Bounce or breakout: Bounce — in a sideways/weak trend: find the nearest strongest level, wait for the bounce to start, trade in its direction. Breakout — in a strong trend: wait for the level to break + a retest of the same level from the other side, trade in the breakout's direction.
Advanced idea: you don't need to wait for every module to agree at once — 2–3 factors (level + channel edge + EMA turn) already give a noticeably more reliable entry point than a level alone.

1.4 Pressure Dots + Pump/Dump + Divergences (TudasCandleSignals)

Candles say a lot, but it's hard to track every tick — you miss half the clues, and the ones you do notice get interpreted a little differently each time.
Big-player pressure — colored dots next to the candle's wick:
  1. Dot at the low, green — buying pressure.
  2. Dot at the high, red — selling pressure.
  3. Dot size = pressure strength (close offset from the bar's center, reinforced by anomalous volume). Weak signals (below Pressure_MinStrength ) aren't drawn.
  • Pump (green label with an up arrow) — volatility compression + volume increase on the breakout bar + a close above the compression range. A zone where big players were quietly building a position — an impulse is brewing.
  • Dump (red label with a down arrow) — a recent high pierced followed by a weak close — a classic retail stop-hunt, a strong sell signal.

Divergence counter — one of the strongest phenomena in technical analysis: price marks a new extreme, but the oscillator doesn't — the move is losing strength underneath. Calculated across 11 oscillators at once (RSI, MACD, Stochastic, AO, CCI, Momentum, OBV, ADX, MFI, ROC, WPR):
  • Red arrow up — bearish divergence, green down — bullish.
  • Number in the circle — how many oscillators confirmed the divergence (minimum InpMinCount =3, maximum 11).
  • Filled circle — also confirmed by money flow (OBV/MFI diverged too) — a reinforced signal.
  • False divergences, after which no real move followed ( InpProveBars bars), remove themselves retroactively.
Simple idea: bullish divergence at the bottom — wait for Buy; bearish at the top — wait for Sell. The higher the number in the circle, the stronger the signal.

1.5 "Instant Technical Analysis" Panel

Everything described above is manual work: looking at 5 different layers and weighing what they say together yourself. The panel does this automatically.
15 factors, reliability scale 0–30

№ 

Factor


Source


1–4
EMA20/50/100/200 trend
slope of the EMA Ribbon lines
5 Price channel
PriceChannel state
6 "Whale" event (VSA)
narrow bar+anomalous volume+close at the edge = pressure; wide bar+anomalous volume = impulse
7 Volume delta
volume on bullish bars minus bearish bars
8-12 RSI/Stochastic/MFI/CCI/Momentum
rising/falling over recent bars
13 Latest divergence
if more recent than AN_DivRecencyBars bars
14 Position next to an S/R zone
closer to support or resistance
15 Latest Pump/Dump
if more recent than AN_PumpDumpRecencyBars bars

  • Each factor contributes +1 (buy side), −1 (sell side), or 0. The sum determines direction, reliability = |sum|×2, max 30 — but the more factors that ACTUALLY line up at the same time, the higher and more reliable that number is, and vice versa: 2–3 points means almost nothing lined up, the signal isn't worth attention. The signal fires when reliability ≥ AN_MinScoreToFire (a threshold calibrated against the real score distribution — the theoretical max of 30 is nearly unreachable), no more than once every AN_CooldownBars bars, and only on an already-closed bar — reliability matters more than how fast it appears. What appears on the chart when it fires:
  • BUY/SELL XX% badge next to the entry.
  • Analysis panel: sections "1) Trend / 2) Levels / 3) Entry Confirmation" — each factor with a colored dot (green = favors buy, red = favors sell, yellow = neutral), then Reliability: N/30 points , entry/SL/TP, risk/reward ratio, and a live line below that updates every bar: the current floating result while the position is "open", and after closing, the final outcome by stop or by take.
  • Entry level and SL — in large white text, so they don't get lost on the chart.
  • TP1/TP2/TP3 — from the nearest S/R zones in the trade's direction, but never closer than the stop (minimum 1R/2R/3R) — the risk/reward ratio is protected at the calculation level, not just visually.
  • Touch counter at the bottom left — how many times TP1/TP2/TP3/SL were actually reached across every signal fired during the session

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The Expert Advisor and the video are attached in the Discussion tab . The robot applies only one order and strictly follows the signals to evaluate the indicator efficiency. Pan PrizMA CD Phase is an option based on the Pan PrizMA indicator. Details (in Russian). Averaging by a quadric-quartic polynomial increases the smoothness of lines, adds momentum and rhythm. Extrapolation by the sinusoid function near a constant allows adjusting the delay or lead of signals. The value of the phase - wave s
Классификатор силы тренда. Показания на истории не меняет. Изменяется классификация только незакрытого бара. По идее подобен полной системе ASCTrend, сигнальный модуль которой, точнее его аппроксимация в несколько "урезанном" виде, есть в свободном доступе, а также в терминале как сигнальный индикатор SilverTrend . Точной копией системы ASCTrend не является. Работает на всех инструментах и всех временных диапазонах. Индикатор использует несколько некоррелируемых между собой алгоритмов для класси
FFx Universal Strength Meter PRO is more than a basic strength meter. Instead of limiting the calculation to price, it can be based on any of the 19 integrated strength modes + 9 timeframes. With the FFx USM, you are able to define any period for any combination of timeframes. For example, you can set the dashboard for the last 10 candles for M15-H1-H4… Full flexibility! Very easy to interpret... It gives a great idea about which currency is weak and which is strong, so you can find the best pai
The FFx Universal MTF alerter shows on a single chart all the timeframes (M1 to Monthly) with their own status for the chosen indicator. 9 indicators mode (MACD-RSI-Stochastic-MA-ADX-Ichimoku-Candles-CCI-PSAR). Each can be applied multiple times on the same chart with different settings. Very easy to interpret. Confirm your BUY entries when most of the timeframes are showing green color. And confirm your SELL entries when most of the timeframes are showing red color. 2 Alert Options : input to s
The FFx Watcher PRO is a dashboard displaying on a single chart the current direction of up to 15 standard indicators and up to 21 timeframes. It has 2 different modes: Watcher mode: Multi Indicators User is able to select up to 15 indicators to be displayed User is able to select up to 21 timeframes to be displayed Watcher mode: Multi Pairs User is able to select any number of pairs/symbols User is able to select up to 21 timeframes to be displayed This mode uses one of the standard indicators
FFx Patterns Alerter gives trade suggestions with Entry, Target 1, Target 2 and StopLoss .... for any of the selected patterns (PinBar, Engulfing, InsideBar, OutsideBar) Below are the different options available: Multiple instances can be applied on the same chart to monitor different patterns Entry suggestion - pips to be added over the break for the entry 3 different options to calculate the SL - by pips, by ATR multiplier or at the pattern High/Low 3 different options to calculate the 2 TPs -
MetaTrader 4 version available here : https://www.mql5.com/en/market/product/24881 FFx Basket Scanner is a global tool scanning all pairs and all timeframes over up to five indicators among the 16 available. You will clearly see which currencies to avoid trading and which ones to focus on. Once a currency goes into an extreme zone (e.g. 20/80%), you can trade the whole basket with great confidence. Another way to use it is to look at two currencies (weak vs strong) to find the best single pairs
MetaTrader 4 version available here: https://www.mql5.com/en/market/product/25793 FFx Pivot SR Suite PRO is a complete suite for support and resistance levels. Support and Resistance are the most used levels in all kinds of trading. Can be used to find reversal trend, to set targets and stop, etc. The indicator is fully flexible directly from the chart 4 periods to choose for the calculation: 4Hours, Daily, Weekly and Monthly 4 formulas to choose for the calculation: Classic, Camarilla, Fibonac
ClassicSBA
Umri Azkia Zulkarnaen
this indicator very simple and easy if you understand and agree with setup and rule basic teknical sba you can cek in link : please cek my youtube channel for detail chanel : an for detail info  contact me  basicly setup buy (long) for this indicator is Magenta- blue and green candle or magenta - green  and green candlestik and for setup sell (short) is Black - yellow - and red candle or black - red  and red candlestik
WanaScalper
Isaac Wanasolo
1 (1)
A scalping indicator based on mathematical patterns, which on average gives signals with relatively small SL, and also occasionally helps to catch big moves in the markets (more information in the video) This indicator has three main types of notifications: The first type warns of a possible/upcoming signal on the next bar The second type indicates the presence of a ready signal to enter the market/open a position The third type is for SL and TP levels - you will be notified every time price re
Индикатор Coefficient Of Determination (COD) представляет собой значение коэффициента детерминации или квадрат коэффициента корреляции между зависимой переменной — ценой и объясняющей переменной — тиковым объемом. Что это дает нам на практике? COD отлично распознает кульминацию трендовых движений, что позволяет подбирать оптимальные точки и ловить развороты рынка. Как использовать индикатор: Наиболее популярная торговая стратегия строится совместно с трендовым индикатором Moving Average (MA), пе
Recommended TimeFrame >= H1. 100% Non Repainted at any moment.  Use it carefully, only with Trend Direction. Trading Usage: 2 Variants: as Range System or as BreakOut System (Both Only With Trend Direction)::: (Always use StopLoss for minimise Risk); [1] as Range System: (Recommended) in UP TREND:  - BUY in Blue Line , then if price goes down by 50 points (on H1) open Second BUY.   Close in any Profit you wish: TrailingStop(45 points) or Close when Price touches upper Gold Line. in DOWN TREND
Spike Detector
Tete Adate Adjete
this indicator is a Spike detector indicator, it is specially designed to trade Boom 1000, Boom 500, Crash 1000 and Crash 500 We recommend using it on Deriv Boom and Crash indices only Its setting is intuitive, familiar, easy to use it has notification functions; audible notifications and push notifications. this tool is simple to use, easy to handle This update is based on different strategies for spikes
Limitless MT5
Dmitriy Kashevich
Limitless MT5 is a universal indicator suitable for every beginner and experienced trader. works on all currency pairs, cryptocurrencies, raw stocks Limitless MT5 - already configured and does not require additional configuration And now the main thing Why Limitless MT5? 1 complete lack of redrawing 2 two years of testing by the best specialists in trading 3 the accuracy of correct signals exceeds 80% 4 performed well in trading during news releases Trading rules 1 buy signal - the ap
QuantXSTocks Trading Range Indicator for MT5: INSTRUCTIONS TO USE OUR INDICATOR:- User needs to take trade on Arrow or after an Arrow CandleStick, You can achieve up-to 35-125 pips target by this Indicator. Best Timeframes for Stocks and Indices are M30 and H1: AMAZON M30 (50 pips) TESLA M30 (50 pips) APPLE M30 (50 pips) ADOBE M30 (50 pips) NASDAQ100 H1 (125 pips) The above are the approximate amount of pips you can achieve by this Indicator, Green arrow appears to be buy arrow while the Red ar
Altri dall’autore
ARGUS Breakout Universal — Volatility Breakout EA for MT5 A fully automated breakout trading system built on one core principle: enter only when the market is truly moving, protect capital when it is not. No martingale. No grid. No averaging. How It Works The EA detects consolidation zones — periods where price compresses within a tight range. When price breaks out with volume confirmation, the EA enters in the breakout direction, filtered by a Daily SMA trend filter to avoid counter-trend trade
The Opening Range Breakout Portfolio The Opening Range Breakout Portfolio A fully automated, intraday diversification system for US stock indices. > INSTITUTIONAL-GRADE LOGIC. SINGLE-CHART SIMPLICITY. Diversification over aggression Most automated systems rely on aggressive risk parameters applied to a single setup. The Opening Range Breakout Portfolio pursues a smoother equity curve through breadth. Target Trades the opening range of the US cash session. Scope Spans multiple index symbols and t
Argus Kijun Gold
Yevhen Hladchenko
KijunMaster EA 基準線 Expert Advisor for MetaTrader 5 Kijun Master Two classic Ichimoku plays, executed with machine discipline. KijunMaster buys the pullback when a trend rejects the Kijun-sen, and fades the spike when the line goes flat. Nothing else, ever. Hard stop on every trade Closed-bar signals, zero repaint No martingale No grid No averaging down The idea One line, two regimes, one EA that knows the difference Every Ichimoku trader on the planet watches the same line. The Kijun-sen is the
Argus Indicator
Yevhen Hladchenko
The package consists of two MetaTrader 5 indicator files that are normally placed together on the chart: TudasInstantAnalysis.mq5 — the "top" indicator, drawn over price on the main chart. TudasDownCombined.mq5 — the "bottom" indicator, an independent subwindow below the chart. The logic has been calibrated, and continues to be calibrated, against real XAUUSD data. Part 1 — Top Indicator: TudasInstantAnalysis.mq5 1.1 EMA Ribbon — moving-average ribbon Trend "by eye" on candles is easy to con
Part 2 — Bottom Indicator: TudasDownCombined.mq5 2.1 Money Flow Price is rising, but money is actually leaving the asset — you can't see this in the candles, and the move dies right after you enter, because there's no real buyer behind it. Money Flow shows the intensity of capital entering and leaving the asset, before this shows up in price, not after. The line is smoothed through a cascade of EMAs to strip out small-player noise and show the direction the big players are setting. Flow rising
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