Support and Resistance AI by K clustering

 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 might start to rise, while resistance is a level where the price tends to stop rising and might start to fall. Traders and analysts often look for these levels as they can provide insights into potential price movements and trading opportunities.

 BACKGROUND


The K-means algorithm has been around since the late 1950s, making it more than six decades old. The algorithm was introduced by Stuart Lloyd in his 1957 research paper "Least squares quantization in PCM" for telecommunications applications. However, it wasn't widely known or recognized until James MacQueen's 1967 paper "Some Methods for Classification and Analysis of Multivariate Observations," where he formalized the algorithm and referred to it as the "K-means" clustering method.

So, while K-means has been around for a considerable amount of time, it continues to be a widely used and influential algorithm in the fields of machine learning, data analysis, and pattern recognition due to its simplicity and effectiveness in clustering tasks.

 COMPARE AND CONTRAST SUPPORT AND RESISTANCE METHODS


1) K-means Approach:

  • Cluster Formation: After applying the K-means algorithm to historical price change data and visualizing the resulting clusters, traders can identify distinct regions on the price chart where clusters are formed. Each cluster represents a group of similar price change patterns.

  • Cluster Analysis: Analyze the clusters to identify areas where clusters tend to form. These areas might correspond to regions of price behavior that repeat over time and could be indicative of support and resistance levels.

  • Potential Support and Resistance Levels: Based on the identified areas of cluster formation, traders can consider these regions as potential support and resistance levels. A cluster forming at a specific price level could suggest that this level has been historically significant, causing similar price behavior in the past.

  • Cluster Standard Deviation: In addition to looking at the means (centroids) of the clusters, traders can also calculate the standard deviation of price changes within each cluster. Standard deviation is a measure of the dispersion or volatility of data points around the mean. A higher standard deviation indicates greater price volatility within a cluster.

  • Low Standard Deviation: If a cluster has a low standard deviation, it suggests that prices within that cluster are relatively stable and less likely to exhibit sudden and large price movements. Traders might consider placing tighter stop-loss orders for trades within these clusters.

  • High Standard Deviation: Conversely, if a cluster has a high standard deviation, it indicates greater price volatility within that cluster. Traders might opt for wider stop-loss orders to allow for potential price fluctuations without getting stopped out prematurely.

  • Cluster Density: Each data point is assigned to a cluster so a cluster that is more dense will act more like gravity and

2) Traditional Approach:

  • Trendlines: Draw trendlines connecting significant highs or lows on a price chart to identify potential support and resistance levels.

  • Chart Patterns: Identify chart patterns like double tops, double bottoms, head and shoulders, and triangles that often indicate potential reversal points.

  • Moving Averages: Use moving averages to identify levels where the price might find support or resistance based on the average price over a specific period.

  • Psychological Levels: Identify round numbers or levels that traders often pay attention to, which can act as support and resistance.

  • Previous Highs and Lows: Identify significant previous price highs and lows that might act as support or resistance.

The key difference lies in the approach and the foundation of these methods. Traditional methods are based on well-established principles of technical analysis and market psychology, while the K-means approach involves clustering price behavior without necessarily incorporating market sentiment or specific price patterns.

It's important to note that while the K-means approach might provide an interesting way to analyze price data, it should be used cautiously and in conjunction with other traditional methods. Financial markets are influenced by a wide range of factors beyond just price behavior, and the effectiveness of any method for identifying support and resistance levels should be thoroughly tested and validated. Additionally, developments in trading strategies and analysis techniques could have occurred since my last update.

 K MEANS ALGORITHM


The algorithm for K means is as follows:
  1. Initialize cluster centers
  2. assign data to clusters based on minimum distance
  3. calculate cluster center by taking the average or median of the clusters
  4. repeat steps 1-3 until cluster centers stop moving

 LIMITATIONS OF K MEANS


There are 3 main limitations of this algorithm:
  1. Sensitive to Initializations: K-means is sensitive to the initial placement of centroids. Different initializations can lead to different cluster assignments and final results.
  2. Assumption of Equal Sizes and Variances: K-means assumes that clusters have roughly equal sizes and spherical shapes. This may not hold true for all types of data. It can struggle with identifying clusters with uneven densities, sizes, or shapes.
  3. Impact of Outliers: K-means is sensitive to outliers, as a single outlier can significantly affect the position of cluster centroids. Outliers can lead to the creation of spurious clusters or distortion of the true cluster structure.

 LIMITATIONS IN APPLICATION OF K MEANS IN TRADING


Trading data often exhibits characteristics that can pose challenges when applying indicators and analysis techniques. Here's how the limitations of outliers, varying scales, and unequal variance can impact the use of indicators in trading:

  1. Outliers are data points that significantly deviate from the rest of the dataset. In trading, outliers can represent extreme price movements caused by rare events, news, or market anomalies. Outliers can have a significant impact on trading indicators and analyses:

    Indicator Distortion: Outliers can skew the calculations of indicators, leading to misleading signals. For instance, a single extreme price spike could cause indicators like moving averages or RSI (Relative Strength Index) to give false signals.

    Risk Management: Outliers can lead to overly aggressive trading decisions if not properly accounted for. Ignoring outliers might result in unexpected losses or missed opportunities to adjust trading strategies.

  2. Different Scales: Trading data often includes multiple indicators with varying units and scales. For example, prices are typically in dollars, volume in units traded, and oscillators have their own scale. Mixing indicators with different scales can complicate analysis:

    Normalization: Indicators on different scales need to be normalized or standardized to ensure they contribute equally to the analysis. Failure to do so can lead to one indicator dominating the analysis due to its larger magnitude.

    Comparability: Without normalization, it's challenging to directly compare the significance of indicators. Some indicators might have a larger numerical range and could overshadow others.

  3. Unequal Variance: Unequal variance in trading data refers to the fact that some indicators might exhibit higher volatility than others. This can impact the interpretation of signals and the performance of trading strategies:

    Volatility Adjustment: When combining indicators with varying volatility, it's essential to adjust for their relative volatilities. Failure to do so might lead to overemphasizing or underestimating the importance of certain indicators in the trading strategy.

    Risk Assessment: Unequal variance can impact risk assessment. Indicators with higher volatility might lead to riskier trading decisions if not properly taken into account.

 APPLICATION OF THIS INDICATOR

This indicator can be used in 2 ways:

1) Make a directional trade:

  • If a trader thinks price will go higher or lower and price is within a cluster zone, The trader can take a position and place a stop on the 1 sd band around the cluster. As one can see below, the trader can go long the green arrow and place a stop on the one standard deviation mark for that cluster below it at the red arrow. using this we can calculate a risk to reward ratio.

  • Calculating risk to reward: targeting a risk reward ratio of 2:1, the trader could clearly make that given that the next resistance area above that in the orange cluster exceeds this risk reward ratio.

Image 1

2) Take a reversal Trade:

  • We can use cluster centers (support and resistance levels) to go in the opposite direction that price is currently moving in hopes of price forming a pivot and reversing off this level.
  • Similar to the directional trade, we can use the standard deviation of the cluster to place a stop just in case we are wrong.
  • In this example below we can see that shorting on the red arrow and placing a stop at the one standard deviation above this cluster would give us a profitable trade with minimal risk.
  • Using the cluster density table in the upper right informs the trader just how dense the cluster is. Higher density clusters will give a higher likelihood of a pivot forming at these levels and price being rejected and switching direction with a larger move.

Image 2

 FEATURES & SETTINGS

General Settings:

  • Number of clusters: The user can select from 3 to five clusters. A good rule of thumb is that if you are trading intraday, less is more (Think 3 rather than 5). For daily 4 to 5 clusters is good.

  • Cluster Method: To get around the outlier limitation of k means clustering, The median was added. This gives the user the ability to choose either k means or k median clustering. K means is the preferred method if the user things there are no large outliers, and if there appears to be large outliers or it is assumed there are then K medians is preferred.

  • Bars back To train on: This will be the amount of bars to include in the clustering. This number is important so that the user includes bars that are recent but not so far back that they are out of the scope of where price can be. For example the last 2 years we have been in a range on the sp500 so 505 days in this setting would be more relevant than say looking back 5 years ago because price would have to move far to get there.

  • Show SD Bands: Select this to show the 1 standard deviation bands around the support and resistance level or unselect this to just show the support and resistance level by itself.
  • Show Panel: Display panel to show infor of zones.


Features:

Besides the support and resistance levels and standard deviation bands, this indicator gives a table in the upper right hand corner to show the density of each cluster (support and resistance level) and is color coded to the cluster line on the chart. Higher density clusters mean price has been there previously more than lower density clusters and could mean a higher likelihood of a reversal when price reaches these areas.


 WORKS CITED


  1. Victor Sim, "Using K-means Clustering to Create Support and Resistance", 2020, towardsdatascience.c...sistance-b13fdeeba12
  2. Chris Piech, "K means", stanford.edu/~cpiech...handouts/kmeans.html


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FX Trend NG: Yeni Nesil Çoklu Piyasa Trend Zekâsı Genel Bakış FX Trend NG , çoklu zaman dilimlerinde çalışan profesyonel bir trend analiz ve piyasa izleme aracıdır. Piyasanın yapısını saniyeler içinde anlamanızı sağlar. Birden fazla grafik arasında geçiş yapmak yerine, hangi enstrümanların trendde olduğunu, momentumun nerede zayıfladığını ve hangi zaman dilimlerinin uyumlu olduğunu anında görebilirsiniz. Lansman Teklifi – FX Trend NG sadece $30 (6 Ay) veya $80 Ömür Boyu Lisans ile edinin. Zate
ARIPoint
Temirlan Kdyrkhan
1 (1)
ARIPoint is a powerful trading companion designed to generate high-probability entry signals with dynamic TP/SL/DP levels based on volatility. Built-in performance tracking shows win/loss stats, PP1/PP2 hits, and success rates all updated live. Key Features: Buy/Sell signals with adaptive volatility bands Real-time TP/SL/DP levels based on ATR Built-in MA Filter with optional ATR/StdDev volatility Performance stats panel (Success, Profit/Loss, PP1/PP2) Alerts via popup, sound, push, or email Cu
Gann Made Easy , bay teorisini kullanarak ticaretin en iyi ilkelerine dayanan, profesyonel ve kullanımı kolay bir Forex ticaret sistemidir. WD Gann. Gösterge, Zararı Durdur ve Kâr Al Seviyeleri dahil olmak üzere doğru SATIN AL ve SAT sinyalleri sağlar. PUSH bildirimlerini kullanarak hareket halindeyken bile işlem yapabilirsiniz. Satın alma işleminden sonra, alım satım talimatlarını ve harika ek göstergeleri ücretsiz olarak almak için lütfen benimle iletişime geçin! Muhtemelen Gann ticaret yöntem
Trend Screener Pro MT5
STE S.S.COMPANY
4.85 (104)
Trend Göstergesi, Trend Alım Satım ve Filtreleme için Çığır Açan Benzersiz Çözüm, Tüm Önemli Trend Özellikleriyle Tek Bir Araç İçinde Yerleştirildi! Forex, emtialar, kripto para birimleri, endeksler ve hisse senetleri gibi tüm sembollerde/araçlarda kullanılabilen %100 yeniden boyamayan çoklu zaman çerçevesi ve Çoklu para birimi göstergesidir. Trend Screener, grafikte noktalarla ok trend sinyalleri sağlayan etkili bir trend trend göstergesidir. Trend analizörü göstergesinde bulunan özellikler: 1.
KT Alpha Hunter Arrows MT5
KEENBASE SOFTWARE SOLUTIONS
Çoğu ok göstergesi size yalnızca bir sinyal verir ve geri kalan her şeyi sizin çözmenizi bekler. KT Alpha Hunter Arrows ise size tam bir işlem planı sunar. Her sinyal oku, hazır çizilmiş tam bir planla birlikte görünür: giriş çizgisi, stop loss, dört take profit seviyesi ve bu sembol ile zaman diliminin o anda işlem yapmaya değer olup olmadığını gösteren canlı edge değerlendirmesi. Dahil edilen Trade Manager EA, siz işleme girdikten sonra yönetimi üstlenir. Böylece piyasa gürültülü ve stresli ha
Tanıtım       Quantum Breakout PRO   , Breakout Bölgeleri ile ticaret yapma şeklinizi değiştiren çığır açan MQL5 Göstergesi! 13 yılı aşkın ticaret tecrübesine sahip deneyimli tüccarlardan oluşan bir ekip tarafından geliştirilmiştir.       Kuantum Breakout PRO       yenilikçi ve dinamik koparma bölgesi stratejisiyle ticaret yolculuğunuzu yeni zirvelere taşımak için tasarlanmıştır. Kuantum Breakout Göstergesi, size 5 kar hedefi bölgesi ile kırılma bölgelerinde sinyal okları ve kırılma kutusuna da
FX Power MT5 NG
Daniel Stein
5 (32)
FX Power: Daha Akıllı Ticaret Kararları için Para Birimlerinin Gücünü Analiz Edin Genel Bakış FX Power , her piyasa koşulunda başlıca para birimlerinin ve altının gerçek gücünü anlamak için vazgeçilmez bir araçtır. Güçlü para birimlerini alıp zayıf olanları satarak, FX Power ticaret kararlarınızı basitleştirir ve yüksek olasılıklı fırsatları ortaya çıkarır. İster trendlere sadık kalın ister Delta'nın aşırı değerlerini kullanarak tersine dönüşleri öngörün, bu araç ticaret tarzınıza mükemmel bir
Quantum TrendPulse
Bogdan Ion Puscasu
5 (25)
SuperTrend   ,   RSI   ve   Stochastic'in   gücünü tek bir kapsamlı göstergede birleştirerek işlem potansiyelinizi en üst düzeye çıkaran nihai işlem aracı olan   Quantum TrendPulse'u   tanıtıyoruz. Hassasiyet ve verimlilik arayan yatırımcılar için tasarlanan bu gösterge, piyasa trendlerini, momentum değişimlerini ve en uygun giriş ve çıkış noktalarını güvenle belirlemenize yardımcı olur. Temel Özellikler: SuperTrend Entegrasyonu:   Güncel piyasa trendlerini kolayca takip edin ve karlılık dalgası
RelicusRoad Pro MT5
Relicus LLC
4.96 (24)
RelicusRoad Pro: Kantitatif Piyasa İşletim Sistemi ÖMÜR BOYU ERİŞİMDE %70 İNDİRİM (SINIRLI SÜRE) - 2.000+ TRADER'A KATILIN Neden çoğu trader "mükemmel" indikatörlere rağmen başarısız olur? Çünkü tekil kavramları boşlukta trade ederler. Bağlamı olmayan bir sinyal kumardır. Sürekli kazanmak için KONFLÜANS (UYUM) gerekir. RelicusRoad Pro basit bir ok indikatörü değildir. Tam bir Kantitatif Piyasa Ekosistemi dir. Tescilli volatilite modellemesini kullanarak fiyatın ilerlediği "Adil Değer Yolu"nu har
Trend Forecaster
Alexey Minkov
5 (7)
Trend Forecaster – Since 2023. The Trend Forecaster indicator utilizes a unique proprietary algorithm to determine entry points for a breakout trading strategy. The indicator identifies price clusters, analyzes price movement near levels, and provides a signal when the price breaks through a level. The Trend Forecaster indicator is suitable for all financial assets, including currencies (Forex), metals, stocks, indices, and cryptocurrencies. You can also adjust the indicator to work on any time
Crystal Heikin Ashi Signals
Muhammad Jawad Shabir
5 (2)
Crystal Heikin Ashi Signals - Professional Trend & Signal Detection Indicator Advanced Heikin Ashi Visualization with Intelligent Signal System for Manual & Automated Trading Final Price: $149 ---------> Price goes up $10 after every 10 sales . Limited slots available — act fast . Overview Crystal Heikin Ashi Signals is a professional-grade MetaTrader 5 indicator that combines pure Heikin Ashi candle visualization with an advanced momentum-shift detection system. Designed for both manual traders
Meridian Pro
Ottaviano De Cicco
5 (2)
Meridian Pro 2.00: Professional Multi-Timeframe Trend Matrix for MT5 Meridian Pro 2.00 is a professional adaptive trend matrix for MetaTrader 5. It combines the original Meridian trend engine, a clean chart ribbon, closed-bar signal arrows, an 8-timeframe dashboard, Fuel momentum, weighted consensus, synthetic HTF processing and chart-native higher-timeframe context lines. The goal is simple: read current trend, multi-timeframe structure, strength, momentum and EA-ready state from one discipline
Btmm state engine pro
Garry James Goodchild
5 (4)
BTMM State Engine Pro is a MetaTrader 5 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
Reversal Master for MT5 Reversal Master for MT5 is a non‑repainting reversal indicator for MetaTrader 5. It helps you detect potential market reversal points and shows the maximum favourable price movement after each historical signal, so you can better understand how price behaved after similar situations in the past. The MT5 version keeps the familiar reversal‑signal logic of the original Reversal Master for MT4, but adds improved visualisation, historical statistics and a points summary panel
Bu gösterge paneli, seçilen semboller için mevcut en son   harmonik kalıpları   gösterir, böylece zamandan tasarruf edersiniz ve daha verimli olursunuz /   MT4 sürümü . Ücretsiz Gösterge:   Basic Harmonic Pattern Gösterge sütunları Symbol :   seçilen semboller görünecektir Trend:   yükseliş veya düşüş Pattern :   desen türü (gartley, kelebek, yarasa, yengeç, köpekbalığı, cypher veya ABCD) Entry :   giriş fiyatı SL:   zararı durdur fiyatı TP1:   1. kar alma fiyatı TP2:   2. kar alma fiyatı TP
Market Structure Patterns
Samuel Manoel De Souza
4.47 (19)
Market Structure Patterns ,   smart money concepts   (akıllı para kavramları) temelinde geliştirilen ve   SMC/ICT   öğelerini grafik üzerinde gösteren bir göstergedir. Bu öğeler, işlem kararlarınızı bir üst seviyeye taşımanıza yardımcı olur. Grafikte bir unsur oluştuğunda, fiyat bir seviyeyi geçtiğinde veya bir kutu/bölgeye girdiğinde,   uyarılar ,   bildirimler   ve   e-posta mesajları   aracılığıyla anında bilgilendirilirsiniz. Geliştiriciler,   global variables   (küresel değişkenler) aracıl
The Propfolio Master Suite is the ultimate all-in-one analytical workstation for professional traders. Combining the power of the Beat The Market Maker (BTMM) methodology, Smart Money Concepts (SND/Liquidity), and Advanced Volume Profile, this suite replaces multiple different indicators with one optimized engine. Monitor up to 14 pairs simultaneously from a single chart, instantly identify market cycles, and seamlessly map institutional footprints with the click of a button. The Command Center
Pips Stalker mt5
Abdulkarim Karazon
5 (2)
Pips Stalker, uzun kısa ok tipi bir göstergedir; gösterge, tüm seviyelerden yatırımcıların piyasada daha iyi kararlar almasına yardımcı olur, gösterge asla yeniden boyanmaz ve ana sinyal mantığı olarak RSI'yı kullanır; bir ok verildikten sonra asla yeniden boyanmaz veya geri boya çizmez ve oklar gecikmez. MT4 VERSIYONU <---- PIPS STALKER OKUNUN ÖZELLIKLERI : İSTATISTIK PANELİ genel kazanma oranı %'si ve üst üste maksimum kazanma ve kaybedilen ticaret gibi faydalı istatistikleri ve diğer
Smart Structure Concepts MT5
Cristhian Alexander Gaibor Cuasquer
Smart Structure Concepts MT5, MetaTrader 5 için en kapsamlı kurumsal SMC araç setidir — 4 dilde eğitici araç ipuçları ve fiyat bir bölgeye girdiği anda tetiklenen canlı push uyarıları ile. Çoğu SMC göstergesi kutular çizer ve tahmin etmeyi size bırakır. Bu gösterge her sinyali doğrudan grafik üzerinde açıklar. Herhangi bir BOS, CHoCH, Order Block, FVG veya likidite seviyesinin üzerine gelin ve ne anlama geldiğini ve ne yapmanız gerektiğini anında görün — İngilizce, İspanyolca, Portekizce veya
MetaTrader 5 için Akıllı Çok Katmanlı Kırılım ve Geri Çekilme Dedektörü "Akıllı, Basit, Hızlı!" Yüksek olasılıklı kırılım girişlerini kaçırmaktan bıktınız mı? Kırılımları trend yönü ve para birimi momentumuyla hizalamaya çalışarak birden fazla grafiği saatlerce tarayıp — yine de hareketi kaçırıyor musunuz? Break Pullback, tüm bunları tek bir göstergede çözüyor. Break Pullback Nedir? Break Pullback, piyasa yapısı, kırılım ve trend devamı kurulumlarında işlem yapan yatırımcılar için özel olarak
PZ Trend Trading MT5
PZ TRADING SLU
3.8 (5)
Capture every opportunity: your go-to indicator for profitable trend trading Trend Trading is an indicator designed to profit as much as possible from trends taking place in the market, by timing pullbacks and breakouts. It finds trading opportunities by analyzing what the price is doing during established trends. [ Installation Guide | Update Guide | Troubleshooting | FAQ | All Products ] Trade financial markets with confidence and efficiency Profit from established trends without getting whips
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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
Sessions by LUX in MT5
Minh Truong Pham
5 (1)
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  
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
ICT Concepts
Minh Truong Pham
5 (2)
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 point. T
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
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
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
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
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
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
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  
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
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 indi
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 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
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:
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
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
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