Sofien Kaabar / Профиль
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🔹Our work focuses on algorithmic support and resistance levels, market structure analytics, conviction frameworks, path probability, and decision support indicators for MetaTrader 5.
🔹Our goal is to make market analysis more structured, less subjective, and easier to interpret directly on the chart.
Quant Atlas products are designed as analytical tools.
We also offer systematic market views on +200 global markets. Free trial (no credit card required) available on our website.
🌐 https://www.quant-atlas.com/
Three Dimensional Reversal Indicator by Quant Atlas Creator: https://www.quant-atlas.com/ Three Dimensional Reversal Indicator is a clean and focused reversal tool designed to identify potential market turning points through a three dimensional view of price behavior. The model combines three key dimensions: • Time How long market pressure has remained one sided. • Price Where price is currently positioned relative to its recent behavior. • Price Derived Structure A transformed view
Reversal Indicator I by Quant Atlas Creator: https://www.quant-atlas.com/ Reversal Indicator I is a clean reversal focused indicator designed to help traders identify potential bullish and bearish turning points directly on the chart. The indicator highlights moments where the market may be approaching exhaustion and where a tactical reversal setup may be forming. Signals are displayed with simple visual triangles, making the tool easy to read without cluttering the chart. Key idea
Our indicators will be published on MT5 on a rolling basis, starting with tools focused on structured market analysis, reversal detection, signal conviction, and tactical decision support.
The goal is simple: bring Quant Atlas research and market intelligence into a format traders can use directly on their charts.
More products will be added over time as we expand the MT5 suite.
Vision: описание продукта Vision от Quant Atlas — это многокомпонентный индикатор разворотных сигналов, разработанный для выявления краткосрочных зон бычьего и медвежьего истощения на ликвидных рынках. Модель объединяет несколько независимых слоев технических подтверждений, включая поведение импульса, давление возврата к среднему, условия на основе волатильности, взаимодействие с трендом, временную структуру и подтверждения, связанные со скользящими средними. Итоговый результат преобразуется в


