ML Lorentzian Classification by jdehorty

4

█ OVERVIEW

A Lorentzian Distance Classifier (LDC) is a Machine Learning classification algorithm capable of categorizing historical data from a multi-dimensional feature space. This indicator demonstrates how Lorentzian Classification can also be used to predict the direction of future price movements when used as the distance metric for a novel implementation of an Approximate Nearest Neighbors (ANN) algorithm.

This indicator provide signal as buffer, so very easy for create EA from this indicator

█ BACKGROUND

In physics, Lorentzian space is perhaps best known for its role in describing the curvature of space-time in Einstein's theory of General Relativity (2). Interestingly, however, this abstract concept from theoretical physics also has tangible real-world applications in trading.

Recently, it was hypothesized that Lorentzian space was also well-suited for analyzing time-series data (4), (5). This hypothesis has been supported by several empirical studies that demonstrate that Lorentzian distance is more robust to outliers and noise than the more commonly used Euclidean distance (1), (3), (6). Furthermore, Lorentzian distance was also shown to outperform dozens of other highly regarded distance metrics, including Manhattan distance, Bhattacharyya similarity, and Cosine similarity (1), (3). Outside of Dynamic Time Warping based approaches, which are unfortunately too computationally intensive for PineScript at this time, the Lorentzian Distance metric consistently scores the highest mean accuracy over a wide variety of time series data sets (1).

Euclidean distance is commonly used as the default distance metric for NN-based search algorithms, but it may not always be the best choice when dealing with financial market data. This is because financial market data can be significantly impacted by proximity to major world events such as FOMC Meetings and Black Swan events. This event-based distortion of market data can be framed as similar to the gravitational warping caused by a massive object on the space-time continuum. For financial markets, the analogous continuum that experiences warping can be referred to as "price-time".

Below is a side-by-side comparison of how neighborhoods of similar historical points appear in three-dimensional Euclidean Space and Lorentzian Space (image 2)

This figure demonstrates how Lorentzian space can better accommodate the warping of price-time since the Lorentzian distance function compresses the Euclidean neighborhood in such a way that the new neighborhood distribution in Lorentzian space tends to cluster around each of the major feature axes in addition to the origin itself. This means that, even though some nearest neighbors will be the same regardless of the distance metric used, Lorentzian space will also allow for the consideration of historical points that would otherwise never be considered with a Euclidean distance metric.

Intuitively, the advantage inherent in the Lorentzian distance metric makes sense. For example, it is logical that the price action that occurs in the hours after Chairman Powell finishes delivering a speech would resemble at least some of the previous times when he finished delivering a speech. This may be true regardless of other factors, such as whether or not the market was overbought or oversold at the time or if the macro conditions were more bullish or bearish overall. These historical reference points are extremely valuable for predictive models, yet the Euclidean distance metric would miss these neighbors entirely, often in favor of irrelevant data points from the day before the event. By using Lorentzian distance as a metric, the ML model is instead able to consider the warping of price-time caused by the event and, ultimately, transcend the temporal bias imposed on it by the time series.

For more information on the implementation details of the Approximate Nearest Neighbors (ANN) algorithm used in this indicator, please refer to the detailed comments in the source code.

█ HOW TO USE

The image 3 is an explanatory breakdown of the different parts of this indicator as it appears in the interface

The image 4 is an explanation of the different settings for this indicator

General Settings:
  • Source - This has a default value of "hlc3" and is used to control the input data source.
  • Neighbors Count - This has a default value of 8, a minimum value of 1, a maximum value of 100, and a step of 1. It is used to control the number of neighbors to consider.
  • Max Bars Back - This has a default value of 2000.
  • Feature Count - This has a default value of 5, a minimum value of 2, and a maximum value of 5. It controls the number of features to use for ML predictions.
  • Color Compression - This has a default value of 1, a minimum value of 1, and a maximum value of 10. It is used to control the compression factor for adjusting the intensity of the color scale.
  • Show Exits - This has a default value of false. It controls whether to show the exit threshold on the chart.
  • Use Dynamic Exits - This has a default value of false. It is used to control whether to attempt to let profits ride by dynamically adjusting the exit threshold based on kernel regression.

Feature Engineering Settings:
Note: The Feature Engineering section is for fine-tuning the features used for ML predictions. The default values are optimized for the 4H to 12H timeframes for most charts, but they should also work reasonably well for other timeframes. By default, the model can support features that accept two parameters (Parameter A and Parameter B, respectively). Even though there are only 4 features provided by default, the same feature with different settings counts as two separate features. If the feature only accepts one parameter, then the second parameter will default to EMA-based smoothing with a default value of 1. These features represent the most effective combination I have encountered in my testing, but additional features may be added as additional options in the future.
  • Feature 1 - This has a default value of "RSI" and options are: "RSI", "WT", "CCI", "ADX".
  • Feature 2 - This has a default value of "WT" and options are: "RSI", "WT", "CCI", "ADX".
  • Feature 3 - This has a default value of "CCI" and options are: "RSI", "WT", "CCI", "ADX".
  • Feature 4 - This has a default value of "ADX" and options are: "RSI", "WT", "CCI", "ADX".
  • Feature 5 - This has a default value of "RSI" and options are: "RSI", "WT", "CCI", "ADX".

Filters Settings:
  • Use Volatility Filter - This has a default value of true. It is used to control whether to use the volatility filter.
  • Use Regime Filter - This has a default value of true. It is used to control whether to use the trend detection filter.
  • Use ADX Filter - This has a default value of false. It is used to control whether to use the ADX filter.
  • Regime Threshold - This has a default value of -0.1, a minimum value of -10, a maximum value of 10, and a step of 0.1. It is used to control the Regime Detection filter for detecting Trending/Ranging markets.
  • ADX Threshold - This has a default value of 20, a minimum value of 0, a maximum value of 100, and a step of 1. It is used to control the threshold for detecting Trending/Ranging markets.

Kernel Regression Settings:
  • Trade with Kernel - This has a default value of true. It is used to control whether to trade with the kernel.
  • Show Kernel Estimate - This has a default value of true. It is used to control whether to show the kernel estimate.
  • Lookback Window - This has a default value of 8 and a minimum value of 3. It is used to control the number of bars used for the estimation. Recommended range: 3-50
  • Relative Weighting - This has a default value of 8 and a step size of 0.25. It is used to control the relative weighting of time frames. Recommended range: 0.25-25
  • Start Regression at Bar - This has a default value of 25. It is used to control the bar index on which to start regression. Recommended range: 0-25

Display Settings:
  • Show Bar Colors - This has a default value of true. It is used to control whether to show the bar colors.
  • Show Bar Prediction Values - This has a default value of true. It controls whether to show the ML model's evaluation of each bar as an integer.
  • Use ATR Offset - This has a default value of false. It controls whether to use the ATR offset instead of the bar prediction offset.
  • Bar Prediction Offset - This has a default value of 0 and a minimum value of 0. It is used to control the offset of the bar predictions as a percentage from the bar high or close.

Backtesting Settings:
  • Show Backtest Results - This has a default value of true. It is used to control whether to display the win rate of the given configuration.


█ WORKS CITED

(1) R. Giusti and G. E. A. P. A. Batista, "An Empirical Comparison of Dissimilarity Measures for Time Series Classification," 2013 Brazilian Conference on Intelligent Systems, Oct. 2013, DOI: 10.1109/bracis.2013.22.
(2) Y. Kerimbekov, H. Ş. Bilge, and H. H. Uğurlu, "The use of Lorentzian distance metric in classification problems," Pattern Recognition Letters, vol. 84, 170–176, Dec. 2016, DOI: 10.1016/j.patrec.2016.09.006.
(3) A. Bagnall, A. Bostrom, J. Large, and J. Lines, "The Great Time Series Classification Bake Off: An Experimental Evaluation of Recently Proposed Algorithms." ResearchGate, Feb. 04, 2016.
(4) H. Ş. Bilge, Yerzhan Kerimbekov, and Hasan Hüseyin Uğurlu, "A new classification method by using Lorentzian distance metric," ResearchGate, Sep. 02, 2015.
(5) Y. Kerimbekov and H. Şakir Bilge, "Lorentzian Distance Classifier for Multiple Features," Proceedings of the 6th International Conference on Pattern Recognition Applications and Methods, 2017, DOI: 10.5220/0006197004930501.
(6) V. Surya Prasath et al., "Effects of Distance Measure Choice on KNN Classifier Performance - A Review." .

=======================

Note on "repainting":
To be clear, once a bar has closed, this indicator will NOT repaint. This is true for both the ML predictions and the Kernel estimate.

Note on bar requirement for "learning":
That's a valuable recommendation. Using a timeframe of H4 or lower when working with this indicator because of this require historical price data for learning and analysis is a practical approach. It ensures that you have an adequate number of historical bars to enable the indicator to learn and adapt effectively to price behavior (MT4 have just about1000 bar in chart with bigger timeframe). If you have any more insights or questions related to trading or indicators, feel free to share or ask.

Note for buffer

Incase create EA with signal from this indicator please use iCustom (detail in word document at here)

리뷰 3
samaara
19
samaara 2024.04.26 07:32 
 

When I bought this indicator, I was facing issues with using it in my EA. The indicator was slow and caused errors. So, I reached out to the author of this indicator and asked for help. He always responded to my questions, removed the errors I was facing and even gave me a working sample EA so that I could use it. The indicator now works smoothly and gives good signals!

CC Bourse
21
CC Bourse 2024.05.23 13:02 
 

It works perfectly ! Beware of updating the path of the indicator name in the iCustom function if using it in an EA. Otherwise it won't find the indicator...

It's a very efficient indicator. Great job !

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Neuro Poseidon MT4
Daria Rezueva
4.82 (44)
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M1 Sniper
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5 (26)
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PZ TRADING SLU
4.8 (5)
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Scalper Inside PRO
Alexey Minkov
4.68 (69)
Scalper Inside PRO Scalper Inside PRO is an intraday trend and scalping indicator that uses exclusive built-in algorithms to evaluate market direction and key target levels. The indicator automatically calculates entry and exit points and several profit target levels, and it shows detailed performance statistics, so you can see how different instruments and strategies behaved on historical data. This helps you select instruments that fit current market conditions. You can also connect your own a
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Stefano Frisetti
5 (1)
This indicator is very usefull to TRADE Trading Ranges and helps identify the following TREND. Every Trader knows that any market stay 80% of the time in trading ranges and only 20% of the time in TREND; this indicator has been built to help traders trade trading ranges. Now instead of waiting for the next TREND, You can SWING TRADE on trading ranges with this simple yet very effective indicator. TRADING with CONGESTIONI INDICATOR: The CONGESTIONI Indicator identify a new trading range and ale
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Elmira Memish
4.39 (36)
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Currency Strength Exotics
Bernhard Schweigert
4.88 (33)
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PZ TRADING SLU
5 (2)
Unlock hidden profits: accurate divergence trading for all markets Tricky to find and scarce in frequency, divergences are one of the most reliable trading scenarios. This indicator finds and scans for regular and hidden divergences automatically using your favourite oscillator. [ Installation Guide | Update Guide | Troubleshooting | FAQ | All Products ] Easy to trade Finds regular and hidden divergences Supports many well known oscillators Implements trading signals based on breakouts Display
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Bernhard Schweigert
4.81 (21)
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Stefano Frisetti
4 (4)
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PZ Day Trading
PZ TRADING SLU
3.67 (3)
Effortless trading: non-repainting indicator for accurate price reversals This indicator detects price reversals in a zig-zag fashion, using only price action analysis and a donchian channel. It has been specifically designed for short-term trading, without repainting or backpainting at all. It is a fantastic tool for shrewd traders aiming to increase the timing of their operations. [ Installation Guide | Update Guide | Troubleshooting | FAQ | All Products ] Amazingly easy to trade It provides
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Trend Lines PRO
Roman Podpora
5 (1)
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BTMM State Engine Pro MT4
Garry James Goodchild
BTMM State Engine Pro is a MetaTrader 4 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
PZ Harmonacci Patterns
PZ TRADING SLU
3.17 (6)
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
이 인디케이터는 엘리어트 파동 이론과 두 가지 방식으로 작동합니다: 자동 작동: 이 모드에서는 인디케이터가 엘리어트 파동 이론에 따라 차트 상의 모든 5개의 모티브 웨이브를 자동으로 감지하고 예측 및 잠재적인 반전 지역을 제공합니다. 또한 중요한 개발 사항을 트레이더에게 알릴 수 있는 경보 및 푸시 메시지를 생성할 수 있는 능력을 갖추고 있습니다. 이 자동 기능은 엘리어트 파동 패턴의 식별과 분석 프로세스를 간소화합니다. 수동 작동: 이 옵션은 엘리어트 파동 이론을 수동으로 다루고 싶은 트레이더를 위해 설계되었습니다. 이를 통해 사용자는 아홉 가지 다른 등급을 사용하여 웨이브를 그릴 수 있습니다. 각 등급은 나타난 후에 차트에 그려진 라인을 조정하여 개별적으로 정의할 수 있습니다. 이 기능은 웨이브를 수동으로 그리는 프로세스를 간소화하며 더 효율적으로 만들어 줍니다. 중요한 점으로 모든 그림 데이터가 미래 참조를 위해 플랫폼 데이터 폴더에 저장된다는 것을 기억해야 합니다. 파라미터:
Currency Strength Wizard
Oleg Rodin
4.85 (60)
통화 강도 마법사는 성공적인 거래를 위한 올인원 솔루션을 제공하는 매우 강력한 지표입니다. 표시기는 여러 시간 프레임의 모든 통화 데이터를 사용하여 이 또는 해당 외환 쌍의 힘을 계산합니다. 이 데이터는 특정 통화의 힘을 확인하는 데 사용할 수 있는 사용하기 쉬운 통화 지수 및 통화 전력선의 형태로 표시됩니다. 필요한 것은 거래하려는 차트에 표시기를 부착하는 것뿐입니다. 표시기는 거래하는 통화의 실제 강세를 보여줍니다. 지표는 또한 추세와 거래할 때 유리하게 사용할 수 있는 구매 및 판매 거래량 압력의 극한값을 보여줍니다. 지표는 또한 피보나치에 기반한 가능한 대상을 보여줍니다. 표시기는 PUSH 알림을 포함한 모든 유형의 알림을 제공합니다. 구매 후 연락주세요. 나는 당신과 거래 팁을 공유하고 당신에게 무료로 훌륭한 보너스 지표를 줄 것입니다! 나는 당신에게 행복하고 유익한 거래를 기원합니다!
Neo Wave PRO
Nikolay Raykov
5 (1)
Price & Time Market Structure Indicator A professional market structure tool that analyzes waves through both price and time — not price alone. Main Description NeoWave PRO is a professional market structure indicator for MetaTrader 4 designed for traders who want to move beyond traditional one-dimensional wave tools such as ZigZag, swing indicators, and basic high/low systems. Most wave indicators analyze only one thing: Price. But a real market wave is not only a price movement. A true wave de
A. A2SR이란 무엇입니까 ?   * 선행 기술 지표입니다(재도장 없음, 지연 없음). -- 안내 : https://www.mql5.com/en/blogs/post/734748/page4#comment_16532516 -- 및 https://www.mql5.com/en/users/yohana/blog A2SR에는 지원(수요) 및 저항(공급) 수준을 결정하는 특별한 기술이 있습니다. 우리가 인터넷에서 본 일반적인 방식과 달리 A2SR은 실제 SR 수준을 결정하는 독창적인 개념을 가지고 있습니다. 원래 기술은 인터넷에서 가져온 것이 아니며 인터넷에 게시된 적도 없습니다. A2SR은 거래 스타일에 따라 SR 수준을 자동으로 선택합니다. 시간 프레임을 변경해도 SR 레벨은 그대로 유지됩니다. 사용하는 시간 프레임에서 실제 SR을 얻지 못하기 때문입니다. A2SR은 거래를 위한 완전한 상품을 보유하고 있습니다 . 실제 지원(수요) 및 저항(공급)에 대한 진정한 개념. 뉴스 이벤트 및
Quant Direction
Georgios Kalomoiropoulos
Quant Direction 은 3D 시장 분석 도구입니다. 다양한 매개변수에 걸쳐 정확한 백분율 편차를 계산하면서 완벽하게 객관적인 알고리즘 기반 시장 분석을 제공합니다. 첨단 AI 기반 모델링 도구와 엄격한 테스트를 거쳐 개발된 이 알고리즘은 타의 추종을 불허하는 정확도로 시장을 분석합니다. 플랫폼에서 모든 통화쌍 또는 금융 상품을 분석할 수 있습니다. 단기 거래, 데이 트레이딩, 스윙 트레이딩 등 어떤 유형의 거래를 하든 Quant Direction은 최적의 선택입니다. 운영자가 되는 것의 진정한 이점 퀀트 디렉션의 진정한 장점은 감정, 눈의 피로, 과도한 분석을 완전히 배제한다는 점입니다. 더 이상 수십 개의 차트를 일일이 살펴보며 방향을 찾거나 자신의 판단에 끊임없이 의문을 품을 필요가 없습니다. 이 시스템은 8개의 시간 간격(5개월에서 수개월까지)을 밀리초 단위로 처리합니다. 특정 시점의 주요 시장 참여자를 정확하게 식별하여 항상 성공 확률이 가장 높은 방향으로 거래할
이 지표는 실제 거래에 완벽한 자동 파동 분석 지표입니다! 사례... 참고:   웨이브 그레이딩에 서양식 이름을 사용하는 데 익숙하지 않습니다. Tang Lun(Tang Zhong Shuo Zen)의 명명 규칙의 영향으로 기본 웨이브를   펜   으로 명명하고 2차 웨이브 밴드를   세그먼트   로 명명했습니다. 동시에, 세그먼트에는 추세 방향이 있습니다.   주요 추세 세그먼트에는   이름이 지정되지만(이 이름 지정 방법은 향후 노트에서 사용됩니다. 먼저 말씀드리겠습니다.) 알고리즘은 굴곡 이론과 거의 관련이 없으므로 그렇게 해서는 안 됩니다. 이는 나의 시장 분석을   통해 요약된 끊임없이 변화하고 복잡한 운영 규칙을   반영합니다. 밴드는 더 이상 사람마다 다르지 않도록 표준화되고 정의되었습니다. 인위적인 간섭의 드로잉 방법은 시장 진입을 엄격하게 분석하는 데 핵심적인 역할을 합니다. 이 지표를 사용하는 것은 거래 인터페이스의 미학을 개선하고 원래의 K-line 거래를
Owl smart levels
Sergey Ermolov
4.26 (38)
추세를 따라 거래할 때 가장 어려운 점은 레벨을 찾는 것이 아니라, 어디에서 진입이 실제로 유효한지를 이해하는 것입니다. 가격은 종종 레벨에 반응하지만 움직임이 이어지지 않는 경우가 많으며, 이는 잘못된 진입이나 기회 상실로 이어집니다. Owl Smart Levels는 단순히 레벨만 표시하는 것이 아니라 , 시장 구조와 되돌림을 기반으로 형성된 구간을 보여줍니다. 이를 통해 진입 포인트를 다르게 평가할 수 있으며 일부 잘못된 신호를 피할 수 있습니다. Owl Smart Levels 시스템 구성 Owl Smart Levels 는 단순한 레벨 표시가 아니라, 각 요소가 서로 보완하는 완전한 트레이딩 모델 입니다. 구성 요소: Owl Smart Levels (지표) 추세 방향, 되돌림 구간, 그리고 사전에 정의된 진입, StopLoss, TakeProfit 레벨을 표시 시스템 가이드 실제 거래에서 신호를 어떻게 활용할지 설명: 어떤 상황을 고려하고 어떤 상황을 건너뛸지, 그리고 거래
MagicTrigger MT4
Mostafa Ghanbari
MagicTrigger — 멀티 타임프레임 HD/RD 다이버전스 확인 인디케이터 MagicTrigger는 상위 타임프레임(HD)에서 구조적 다이버전스를 찾고, 동일한 가격대 내 하위 타임프레임(RD)에서 일치하는 다이버전스로 확인되기를 기다리는 멀티 타임프레임 다이버전스 엔진입니다. 상위 타임프레임의 스윙 구조와 하위 타임프레임의 확인이 일치할 때만 인디케이터는 신호를 표시하며, 이와 함께 권장 진입 트리거, 손절 라인, 두 개의 목표 라인을 제공합니다. 작동 방식 인디케이터는 현재 차트 기간을 기준으로 상위 및 하위 타임프레임의 체인을 스캔합니다. 상위 타임프레임에서는 가격 스윙과 평활화된 오실레이터 라인 사이의 다이버전스 패턴("HD" 다이버전스)을 찾습니다. 이후 HD 구조로 정의된 시간 및 가격대 내에서 하위 타임프레임에서도 동일한 방향의 다이버전스("RD" 다이버전스)가 나타나는지 확인합니다. 신호는 필요한 최소 개수의 하위 타임프레임이 상위 타임프레임 구조를 확인했을 때만
RFI levels PRO
Roman Podpora
5 (1)
이 지표는 추세 반전 지점과 가격 반등 영역을 정확하게 보여줍니다.       주요 투자자들   . 새로운 트렌드가 형성되는 곳을 파악하고 최대한 정확하게 의사결정을 내리며 모든 거래를 완벽하게 통제합니다. TREND LINES PRO   지표와 함께 사용할 때 최대의 잠재력을 발휘합니다.  VERSION MT5 지표가 보여주는 내용: 새로운 추세의 시작 시 활성화되는 반전 구조 및 반전 수준. 최소한의 위험 대비 수익률을 갖는 이익 실현   (TAKE PROFIT)   및   손절매(STOP LOSS)   레벨 표시       RR 1:2   . 지능형 손실 감소 로직이 적용된 손절매 기능. 지정된 지표에서 두 가지 추세 유형에 대한 반전 패턴을 표시합니다. 지표: 트렌드를 따라   트렌드 라인 프로   (글로벌 트렌드 변화) 트렌드 프로   (빠른 트렌드 변화) 간단하고 효과적입니다       스캐너       실시간 추세 (신규). 다중 시간 프레임 도구 필터링. 표시하다  
Dynamic Forex28 Navigator
Bernhard Schweigert
4.43 (7)
Dynamic Forex28 Navigator - 차세대 외환 거래 도구. 현재 49% 할인. Dynamic Forex28 Navigator는 오랫동안 인기 있는 지표의 진화형으로, 세 가지의 힘을 하나로 결합했습니다. 고급 통화 Strength28 지표(695개 리뷰) + 고급 통화 IMPULSE with ALERT(520개 리뷰) + CS28 콤보 신호(보너스). 지표에 대한 자세한 정보 https://www.mql5.com/en/blogs/post/758844 차세대 Strength 지표는 무엇을 제공합니까?  원래 지표에서 좋아했던 모든 것이 새로운 기능과 더 높은 정확도로 강화되었습니다. 주요 기능: 독점적인 통화 Strength 공식.  모든 시간대에 걸쳐 부드럽고 정확한 강도선. 추세와 정확한 진입을 식별하는 데 이상적입니다. 역동적인 시장 피보나치 수준(시장 피보나치).  이 지표에만 있는 고유한 기능. 가격 차트가 아닌 통화 강도에 피보나치가 적용됩니다.
Cyclic Impulse
Vitalyi Belyh
차트를 구조화하고 주기적인 가격 변동을 식별하는 기술 지표입니다. 모든 차트에서 작업할 수 있습니다. 다양한 유형의 알림. 그래프 자체에도 추가 화살표가 있습니다. 역사를 재구성하지 않고, 촛불을 닫는 작업에 임한다. M5 이상에서 권장되는 TF입니다. 사용 및 구성이 쉬운 매개변수입니다. 매개변수가 다른 2개의 지표를 사용하는 경우, 다른 지표 없이 해당 지표만 사용할 수 있습니다. 2개의 입력 매개변수가 있습니다 주기성과 신호 지속 시간 이 2개의 매개변수는 차트 구조의 처리와 관련이 있습니다. Cyclicity - 역전 주기가 얼마나 자주 바뀌는지 조절하고 주기를 매끄럽게 합니다. Signal duration - 최소 숫자에서는 가격 움직임의 충격을 감지하고, 최대 숫자에서는 장기적 추세 움직임을 감지합니다.. --------------------------------
제작자의 제품 더 보기
This indicator presents an alternative approach to identify Market Structure. The logic used is derived from learning material created by   DaveTeaches (on X) Upgrade v1.10: add option to put protected high/low value to buffer (figure 11, 12) When quantifying Market Structure, it is common to use fractal highs and lows to identify "significant" swing pivots. When price closes through these pivots, we may identify a Market Structure Shift (MSS) for reversals or a Break of Structure (BOS) for co
The liquidity swings indicator highlights swing areas with existent trading activity. The number of times price revisited a swing area is highlighted by a zone delimiting the swing areas. Additionally, the accumulated volume within swing areas is highlighted by labels on the chart. An option to filter out swing areas with volume/counts not reaching a user-set threshold is also included. This indicator by its very nature is not real-time and is meant for descriptive analysis alongside other com
OVERVIEW K-means is a clustering algorithm commonly used in machine learning to group data points into distinct clusters based on their similarities. While K-means is not typically used directly for identifying support and resistance levels in financial markets, it can serve as a tool in a broader analysis approach. Support and resistance levels are price levels in financial markets where the price tends to react or reverse. Support is a level where the price tends to stop falling and m
This is addition of  Effective SV squeeze momentum  that add bolliger band and Keltner channel to chart window.  Squeeze momentum introduced by “John Carter”, the squeeze indicator for MT5 represents a volatility-based tool. Regardless, we can also consider the squeeze indicator as a momentum indicator, as many traders use it to identify the direction and strength of price moves. In fact, the Tradingview  squeeze indicator shows when a financial instrument is willing to change from a trending ma
FREE
This is a Forex Scalping Trading Sytem based on the Bollinger Bands.  Pairs:Major Time frame: 1M or higher. Spread max:0,0001.  Indicators (just suggestion) Bollinger bands (20, 2); ADX (14 period); RSI   (7 period ). Y ou should only trade this system between 2am to 5am EST, 8am to 12am EST and 7.30pm to 10pm EST. Do not scalp 30 minutes before a orange or red news  report and not for a hour afterwards.   Setup: is for price to move above the lower or lower Bollinger Bands, RSI raise above the
FREE
Bheurekso Pattern with Alert
Minh Truong Pham
2 (1)
The Bheurekso Pattern Indicator for MT5 helps traders automatically identify candlestick pattern that formed on the chart base on some japanese candle pattern and other indicator to improve accurate. This indicator scans all candles, recognizes and then displays any candle patterns formed on the chart. The candle displayed can be Bullish or Bearish Engulfing, Bullish or Bearish Harami, and so on. There are some free version now but almost that is repaint and lack off alert function. With this ve
The Breaker Blocks with Signals indicator aims to highlight a complete methodology based on breaker blocks. Breakout signals between the price and breaker blocks are highlighted and premium/discount swing levels are included to provide potential take profit/stop loss levels. This script also includes alerts for each signal highlighted.   SETTINGS   Breaker Blocks Length: Sensitivity of the detected swings used to construct breaker blocks. Higher values will return longer term break
Multiple Wicks forming at OverSold & OverBought levels create Buying and Selling Pressure. This indicator tries to capture the essence of the buy and sell pressure created by those wicks. Wick pressure shows that the trend is Exhausted. Order block should display when buying or selling pressure wick. When price go inside buy order block and up to outside order block, trader should consider a buy order. If price go inside buy order block and down to outside order block, trader should consider a s
All about Smart Money Concepts Strategy: Market struture: internal or swing BOS, CHoCH; Orderblock; Liquity equal; Fair Value Gap with Consequent encroachment, Balanced price range; Level with Previous month, week, day level or in day level (PMH, PWH, PDH, HOD); BuySell Stops Liquidity (BSL, SSL); Liquidity Void Long Wicks; Premium and Discount; Candle pattern ... "Smart Money Concepts" ( SMC ) is a fairly new yet widely used term amongst price action traders looking to more accurately navigate
The indicator   returning pivot point based trendlines with highlighted breakouts . Trendline caculated by pivot point and other clue are ATR, Stdev.   The indicator also includes integrated alerts for  trendlines  breakouts   and foward message to Telegram channel or group if you want. Settings ·            Lookback bar: Default 200 is number of bar caculate when init indicator. ·            Length:  Pivot points  period ·            Slope Calculation Method: Determines how this lope is calcula
This all-in-one indicator displays real-time market structure (internal & swing BOS / CHoCH), order blocks, premium & discount zones, equal highs & lows, and much more...allowing traders to automatically mark up their charts with widely used price action methodologies. Following the release of our Fair Value Gap script, we received numerous requests from our community to release more features in the same category. //------------------------------------// Version 1.x has missing functions + PDAr
Breaker Blocks with Signals
Minh Truong Pham
3 (2)
The Breaker Blocks with Signals indicator aims to highlight a complete methodology based on breaker blocks. Breakout signals between the price and breaker blocks are highlighted and premium/discount swing levels are included to provide potential take profit/stop loss levels. This script also includes alerts for each signal highlighted.   SETTINGS   Breaker Blocks Length: Sensitivity of the detected swings used to construct breaker blocks. Higher values will return longer term break
ICT Concepts in MT4
Minh Truong Pham
The ICT Concepts indicator regroups core concepts highlighted by trader and educator "The Inner Circle Trader" (ICT) into an all-in-one toolkit. Features include Market Structure (MSS & BOS), Order Blocks, Imbalances, Buyside/Sellside Liquidity, Displacements, ICT Killzones, and New Week/Day Opening Gaps. It’s one kind of Smart money concepts.   USAGE:   Please read this   document  !      DETAILS Market Structure Market structure labels are constructed from price breaking a prior extreme
The FollowLine indicator is a trend following indicator. The blue/red lines are activated when the price closes above the upper Bollinger band or below the lower one. Once the trigger of the trend direction is made, the FollowLine will be placed at High or Low (depending of the trend). An ATR filter can be selected to place the line at a more distance level than the normal mode settled at candles Highs/Lows. Some features: + Trend detech + Reversal signal + Alert teminar / mobile app
The ICT Silver Bullet indicator is inspired from the lectures of "The Inner Circle Trader" (ICT) and highlights the Silver Bullet (SB) window which is a specific 1-hour interval where a Fair Value Gap (FVG) pattern can be formed. A detail document about ICT Silver Bullet here . There are 3 different Silver Bullet windows (New York local time): The London Open Silver Bullet (3 AM — 4 AM ~ 03:00 — 04:00) The AM Session Silver Bullet (10 AM — 11 AM ~ 10:00 — 11:00) The PM Session Silver Bullet (2
Sessions by Lux
Minh Truong Pham
This indicator shows when user set sessions are active and returns various tools + metrics using the closing price within active sessions as an input. Users have the option to change up to 4 session times. The indicator will increasingly lack accuracy when the chart timeframe is higher than 1 hour. Settings Sessions Enable Session: Allows to enable or disable all associated elements with a specific user set session. Session Time: Opening and closing times of the user set session in the  
Liquidity Swings
Minh Truong Pham
The liquidity swings indicator highlights swing areas with existent trading activity. The number of times price revisited a swing area is highlighted by a zone delimiting the swing areas. Additionally, the accumulated volume within swing areas is highlighted by labels on the chart. An option to filter out swing areas with volume/counts not reaching a user-set threshold is also included. This indicator by its very nature is not real-time and is meant for descriptive analysis alongside other com
The SuperTrend AI indicator is a novel take on bridging the gap between the K-means clustering machine learning method & technical indicators. In this case, we apply K-Means clustering to the famous SuperTrend indicator.   USAGE Users can interpret the SuperTrend AI trailing stop similarly to the regular SuperTrend indicator. Using higher minimum/maximum factors will return longer-term signals. (image 1) The displayed performance metrics displayed on each signal allow for a deeper interpretat
This script automatically calculates and updates ICT's daily IPDA look back time intervals and their respective discount / equilibrium / premium, so you don't have to :) IPDA stands for Interbank Price Delivery Algorithm. Said algorithm appears to be referencing the past 20, 40, and 60 days intervals as points of reference to define ranges and related PD arrays. Intraday traders can find most value in the 20 Day Look Back box, by observing imbalances and points of interest. Longer term traders c
An Implied Fair Value Gap (IFVG) is a three candles imbalance formation conceptualized by ICT that is based on detecting a larger candle body & then measuring the average between the two adjacent candle shadows. This indicator automatically detects this imbalance formation on your charts and can be extended by a user set number of bars. The IFVG average can also be extended until a new respective IFVG is detected, serving as a support/resistance line. Alerts for the detection of bullish/be
Consolidation is when price is moving inside a clear trading range. When prices are consolidated it shows the market maker placing orders on both sides of the market. This is mainly due to manipulate the un informed money. This indicator automatically identifies consolidation zones and plots them on the chart. The method of determining consolidation zones is based on pivot points and ATR, ensuring precise identification. The indicator also sends alert notifications to users when a new consolida
This indicator provides the ability to recognize the SMC pattern, essentially a condensed version of the Wyckoff model. Once the pattern is confirmed by RTO, it represents a significant investment opportunity.    There are numerous indicators related to SMC beyond the market, but this is the first indicator to leverage patterns to identify specific actions of BigBoy to  navigate the market. Upgrade 2024-03-08: Add TP by RR feature. The SMC (Smart Money Concept)   pattern   is a market analysis m
Created by imjesstwoone and mickey1984, this trade model attempts to capture the expansion from the 10:00-14:00 EST 4h candle using just 3 simple steps. All of the information presented in this description has been outlined by its creators, all I did was translate it to MQL4. All core settings of the trade model may be edited so that users can test several variations, however this description will cover its default, intended behavior using NQ 5m as an example. Step 1 is to identify our Price Ra
The Buyside & Sellside Liquidity indicator aims to detect & highlight the first and arguably most important concept within the ICT trading methodology,   Liquidity   levels. SETTINGS Liquidity Levels Detection Length: Lookback period Margin: Sets margin/sensitivity for a liquidity level detection Liquidity Zones Buyside Liquidity Zones: Enables display of the buyside liquidity zones. Margin: Sets margin/sensitivity for the liquidity zone boundaries. Color: Color option for buysid
The   Liquidation Estimates (Real-Time)   experimental indicator attempts to highlight real-time long and short liquidations on all timeframes. Here with liquidations, we refer to the process of forcibly closing a trader's position in the market. By analyzing liquidation data, traders can gauge market sentiment, identify potential support and resistance levels, identify potential trend reversals, and make informed decisions about entry and exit points. USAGE (Img 1)    Liquidation refers
The   ICT Unicorn Model   indicator highlights the presence of "unicorn" patterns on the user's chart which is derived from the lectures of   "The Inner Circle Trader" (ICT) . Detected patterns are followed by targets with a distance controlled by the user.   USAGE (image 2) At its core, the ICT Unicorn Model relies on two popular concepts, Fair Value Gaps and Breaker Blocks. This combination highlights a future area of support/resistance. A   Bullish Unicorn Pattern   consists out of:
Inversion Fair Value Gaps MT4
Minh Truong Pham
4.5 (2)
The Inversion Fair Value Gaps (IFVG) indicator is based on the inversion FVG concept by ICT and provides support and resistance zones based on mitigated Fair Value Gaps (FVGs). Image 1   USAGE Once mitigation of an FVG occurs, we detect the zone as an "Inverted FVG". This would now be looked upon for potential support or resistance. Mitigation occurs when the price closes above or below the FVG area in the opposite direction of its bias. (Image 2) Inverted Bullish FVGs Turn into Potenti
Overview The   Volume SuperTrend AI   is an advanced technical indicator used to predict trends in price movements by utilizing a combination of traditional SuperTrend calculation and AI techniques, particularly the k-nearest neighbors (KNN) algorithm. The Volume SuperTrend AI is designed to provide traders with insights into potential market trends, using both volume-weighted moving averages (VWMA) and the k-nearest neighbors (KNN) algorithm. By combining these approaches, the indicator
Introducing the Reversal and Breakout Signals   This innovative tool is crafted to enhance your chart analysis by identifying potential reversal and breakout opportunities directly on your charts. It's designed with both novice and experienced traders in mind, providing intuitive visual cues for better decision-making. Let's dive into the key features and how it operates: ###   Key Features:   Dynamic Period Settings:   Customize the sensitivity of the indicator with user-def
Introduction One of the patterns in "RTM" is the "QM" pattern, also known as "Quasimodo". Its name is derived from the appearance of "Hunchback of Notre-Dame" from Victor Hugo's novel. It is a type of "Head and Shoulders" pattern.   Formation Method   Upward Trend In an upward trend, the left shoulder is formed, and the price creates a new peak higher than the left shoulder peak . After a decline, it manages to break the previous low and move upward again. We expect the price to
필터:
Andrew Goodwin
35
Andrew Goodwin 2025.01.10 13:32 
 

Just purchased this indicator and having the same problem locating the file path after created the EA. Please could you let me know on how to fix this issue?

Minh Truong Pham
19458
개발자의 답변 Minh Truong Pham 2025.01.11 07:06
just send you example EA that read buffer
CC Bourse
21
CC Bourse 2024.05.23 13:02 
 

It works perfectly ! Beware of updating the path of the indicator name in the iCustom function if using it in an EA. Otherwise it won't find the indicator...

It's a very efficient indicator. Great job !

samaara
19
samaara 2024.04.26 07:32 
 

When I bought this indicator, I was facing issues with using it in my EA. The indicator was slow and caused errors. So, I reached out to the author of this indicator and asked for help. He always responded to my questions, removed the errors I was facing and even gave me a working sample EA so that I could use it. The indicator now works smoothly and gives good signals!

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