Session Standard Deviation Date Range Analyzer MT4

Session Standard Deviation Date Range Analyzer: Evaluate the standard deviation of each bar's price (high, low, close, open, weighted, median, and typical) within defined trading sessions and date ranges, providing detailed insights into price volatility and market behavior.

**Note:** When the trading platform is closed, the indicator may not load correctly. To ensure it works, you may need to load the indicator, unload it, and then load it again.

**Note:** This indicator can only be used with historical data. It does not support real-time data analysis.

**Note:**  When switching to a different timeframe, it's recommended to switch back and forth between timeframes to ensure that all data loads properly. This process helps to fetch the necessary historical data, ensuring that calculations based on this data are accurate.
Description:

The "Session Standard Deviation Date Range Analyzer" is a sophisticated analytical tool crafted for traders and analysts seeking to evaluate price volatility across specific trading sessions within a user-defined date range. Unlike traditional indicators that focus solely on high and low prices, this tool provides a comprehensive analysis based on each bar’s price, including high, low, close, open, weighted, median, and typical prices. This detailed approach helps in understanding the standard deviation of price movements, offering deeper insights into market volatility and behavior over selected periods.

Key Features:

1. Customizable Time and Date Input:
   - Start Time and End Time: Users can specify the exact start and end times of the trading session they wish to analyze. This allows for precise examination of specific market hours, such as the New York session, or any other relevant time frame.
   - Start Date and End Date: Define the range of dates for analysis, enabling users to focus on particular periods, such as historical economic events or periods of significant market fluctuations.

2. Bar-Based Analysis:
   - The tool calculates standard deviation based on various bar prices, including high, low, close, open, weighted, median, and typical prices. This approach provides a nuanced view of price volatility by examining how each bar’s price contributes to the overall standard deviation within the selected session and date range.

3. Enhanced Volatility Insights:
   - By leveraging detailed price data, users can gain a deeper understanding of market volatility during specific sessions. This feature is particularly valuable for backtesting trading strategies or studying price behavior during critical historical periods.

4. Historical Data Analysis:
   - Users can analyze how price volatility has evolved over time by examining historical data. This is essential for understanding market dynamics and assessing the impact of significant events on trading sessions.

5. Application for Detailed Studies:
   - The tool supports both short-term and long-term analysis, making it suitable for users looking to study price volatility over various periods. Whether evaluating daily market movements or extended historical trends, the Session Standard Deviation Date Range Analyzer provides valuable insights.

Practical Use Case:

For a trader aiming to assess the volatility of the New York trading session during the financial crisis of 2007-2009, the Session Standard Deviation Date Range Analyzer can be utilized to input the exact start and end times for the New York session and set the relevant date range. The tool will then calculate and provide the standard deviation of prices based on each bar's price data, offering a detailed view of how market volatility behaved during these turbulent times.

This tool is designed for a wide range of users, from academic researchers to professional traders, by offering a detailed and customizable view of price volatility across specific sessions and date ranges. Its advanced analysis capabilities make it a valuable asset for anyone involved in price analysis and volatility assessment.

Note: The indicator is optimized for timeframes of H4 and below.

Main Inputs:

- InpPrice: Specifies the type of price used for standard deviation calculation within the selected session and date range. Options include:

  • High: Use the highest price of each bar.
  • Low: Use the lowest price of each bar.
  • Close: Use the closing price of each bar.
  • Open: Use the opening price of each bar.
  • Weighted: Use the weighted price of each bar.
  • Median: Use the median price of each bar.
  • Typical: Use the typical price of each bar.
- InpStartDate:Specify the starting date for the analysis period.
- InpEndDate: Define the ending date for the analysis period.
- SBegin (Broker time): Sets the starting hour of the session in 24-hour format.
- SBeginMinute (Broker time): Defines the starting minute of the session.
- SEnd (Broker time): Determines the ending hour of the session in 24-hour format.
- SEndMinute (Broker time): Specifies the ending minute of the session.
- SColor: Chooses the color for displaying the session on the chart.
- InpTextColor: Sets the color for the text displayed by the indicator.
- InpLabelColor: Defines the color for labels within the indicator.
- InpFill: Selects whether to fill the session area with color.
- InpPrint: Determines whether to print error messages to the log.


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Torne-se um Negociador Breaker e lucre com as mudanças na estrutura do mercado à medida que o preço reverte. O indicador de quebra de bloco de pedidos identifica quando uma tendência ou movimento de preço está chegando à exaustão e pronto para reverter. Ele o alerta sobre mudanças na estrutura do mercado, que normalmente ocorrem quando uma reversão ou uma grande retração está prestes a ocorrer. O indicador usa um cálculo proprietário que identifica rupturas e momento do preço. Toda vez que um
Advanced Supply Demand
Bernhard Schweigert
4.91 (302)
Atualmente com 30% de desconto! A melhor solução para qualquer Trader Novato ou especialista! Este indicador é uma ferramenta de negociação exclusiva, de alta qualidade e acessível porque incorporamos uma série de recursos proprietários e uma nova fórmula. Com esta atualização, você poderá mostrar fusos horários duplos. Você não só será capaz de mostrar um TF mais alto, mas também mostrar ambos, o TF do gráfico, MAIS o TF mais alto: MOSTRANDO ZONAS ANINHADAS. Todos os traders de Oferta e Demanda
O Oscilador de Quebra de Volume é um indicador que combina o movimento dos preços com as tendências de volume sob a forma de um oscilador. Queria integrar a análise de volume nas minhas estratégias, mas sempre me desiludiram a maioria dos indicadores de volume, como OBV, Money Flow Index, A/D, mas também como Volume Weighted Macd e muitos outros. Por isso escrevi este indicador para mim próprio, estou satisfeito com a sua utilidade e por isso decidi publicá-lo no mercado. Principais caracterí
Scalper Inside PRO
Alexey Minkov
4.74 (69)
Scalper Inside PRO helps you read the intraday trend and plan a trade before you enter the market. It is built around three exclusive strategies for a sharper read of the market. The moment a signal appears, the indicator evaluates market direction and calculates the key levels, so you see the potential entry, the expected stop-loss and several profit-taking levels in advance. Detailed performance statistics show how different instruments and strategies performed in history and help you pick ass
Zoryk Gold mt4
Reda El Koutbane
5 (1)
O desconto termina em 24 horas — próximo preço $ 69 ZORYK — Sistema avançado de sinais e planejamento para XAUUSD no MetaTrader 4 Você conhece essa sensação. Você analisa o ouro, espera pela entrada e finalmente abre a operação. O preço começa a se mover contra você. Você fecha cedo demais, altera o Stop Loss ou hesita por alguns segundos. Logo depois, o mercado segue exatamente na direção que você esperava, mas sem você na operação. O problema nem sempre era a direção. O verdadeiro problem
Acesso Oficial ao Ecossistema BlueDigitsFx Receba atualizações de infraestrutura, recursos de workflow, lançamentos de produtos e acesso ao ecossistema oficial BlueDigitsFx. Ecossistema Telegram Website Versão MT5 BlueDigitsFx Easy 123 System — Poderosa Detecção de Reversões e Rompimentos para MT4 Sistema completo sem repaint para identificar reversões e rompimentos de mercado — desenvolvido para traders que valorizam estrutura, clareza e operações baseadas em confirmação. O BlueDigitsFx Easy
M1 Arrow Scalping - shows signals on the M1 period, does not redraw entry points and can work on all major currency pairs + metals (gold/silver). The indicator analyzes the market using algorithms for determining price patterns and shows the trader the price reversal points on the chart. The red dot shows that the price will turn down and the blue dot shows that the price will turn up. The indicator also sends signals to the phone in the form of PUSH notifications. Therefore, you do not need to
TrendLine PRO MT4
Evgenii Aksenov
4.83 (168)
The Trend Line PRO indicator is an independent trading strategy. It shows the trend change, the entry point to the transaction, as well as automatically calculates three levels of Take Profit and Stop Loss protection. Trend Line PRO is perfect for all Meta Trader symbols: currencies, metals, cryptocurrencies, stocks and indices. The indicator is used in trading on real accounts, which confirms the reliability of the strategy. Robots using   Trend Line PRO   and real Signals can be found here:   
TPSproTREND PrO
Roman Podpora
4.67 (27)
TPSproTrend PRO       - Este é um indicador de tendência que analisa automaticamente o mercado e fornece informações sobre a tendência e suas mudanças, além de exibir pontos de entrada para negociações.       Sem redesenhar! ИНСТРУКЦИЯ RUS   -   INSTRUÇÕES   ENG   -   VERSÃO MT5 Funções principais: Sinais de entrada precisos       SEM PRECISAR REPINTAR! Uma vez que um sinal aparece, ele permanece válido! Esta é uma diferença significativa em relação aos indicadores de repintura, que podem forne
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