Session Expected Risk Date Range Analyzer

Session Expected Risk Date Range Analyzer:  Analyzes price data across specified date ranges to provide detailed insights into financial risk and volatility, using each bar's price metrics for accurate risk assessment.

The Session Expected Risk Date Range Analyzer is a sophisticated tool designed to offer traders and analysts detailed insights into the expected financial risk across specific date ranges. Unlike traditional session-based analysis, this indicator focuses on calculating risk metrics based on each bar's price data, utilizing various price types such as high, low, close, open, weighted median, and typical prices. This approach provides a nuanced understanding of price volatility and risk over the selected periods.

**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 is intended for use with historical data and 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.


Key Features:

1. Customizable Date Range Analysis:

   - Start Date and End Date: Users can define precise start and end dates for the analysis, allowing for a thorough examination of price risk over specific periods. This feature is useful for studying historical risk patterns and market behavior during critical events.

2. Bar-Based Risk Calculation:

   - Unlike session-based tools, this indicator calculates risk metrics based on each bar’s price data, including high, low, close, open, weighted median, and typical prices. This method provides a more granular view of risk and volatility across the chosen date range.

3. Financial Expected Risk Formula:

   - The indicator uses the financial expected risk formula to assess potential risk levels, offering a quantitative measure of volatility and price behavior. This approach helps in understanding how different price metrics contribute to overall risk.

4. Enhanced Risk Insights:

   - By focusing on bar-based price data, traders and analysts can gain a deeper understanding of risk dynamics within specified periods. This detailed analysis is valuable for refining trading strategies and assessing historical risk trends.

5. Application for Historical Data Analysis:

   - The tool is ideal for analyzing historical data, making it suitable for users interested in long-term risk studies and the impact of historical events on price volatility.

Practical Use Case:

Consider a trader analyzing the risk associated with EURUSD during a volatile market period. By using the **Session Expected Risk Date Range Analyzer**, the trader can specify the start and end dates for the analysis, and the indicator will calculate risk metrics based on each bar’s price data. This detailed analysis helps the trader understand the risk profile and adjust trading strategies accordingly.

**Note:** This indicator is designed to work with 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 beginning date for the analysis period. This defines the start of the range for risk evaluation.

- InpEndDate: Define the ending date for the analysis period. This marks the end of the range and limits the risk evaluation to this date.

- SColor: Choose the color for displaying the risk metrics on the chart. `clrBlue` will show the risk in blue.

- InpTextColor: Set the color for the text displayed by the indicator. `clrYellow` will render the text in yellow.

- InpLabelColor: Define the color for labels within the indicator. `clrRed` will color the labels red.

- InpFill: Select whether to fill the risk area with color. `true` fills the risk area with the color specified by `SColor`.

- InpPrint: Determine whether to print error messages to the log. `true` enables error logging.

The **Session Expected Risk Date Range Analyzer** stands as a powerful tool for traders and analysts seeking to understand financial risk with precision, leveraging detailed bar-based price data and advanced risk calculation methods.


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Oleg Rodin
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Reda El Koutbane
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Zaha Feiz
4.69 (55)
AtBot: 它是如何工作的以及如何使用它 ### 它是如何工作的 “AtBot”指标用于MT5平台,通过结合技术分析工具生成买入和卖出信号。它集成了简单移动平均线(SMA)、指数移动平均线(EMA)和平均真实波幅(ATR)指标,以识别交易机会。此外,它还可以利用Heikin Ashi蜡烛来增强信号的准确性。 购买后留下评论,您将获得特别的奖励礼物。 ### 主要特点: - 不重绘: 信号在绘制后不会改变。 - 不变动: 信号保持一致,不会被更改。 - 无延迟: 提供及时的信号,没有延迟。 - 多种时间框架: 可在任何时间框架上使用,以适应您的交易策略。 ### 操作步骤: #### 输入和设置: - firstkey (TrendValue): 调整趋势检测的灵敏度。 - Secondkey (SignalValue): 定义买入/卖出信号生成的灵敏度。 - masterkey (ExitValue): 控制信号的退出策略。 - h: 切换是否根据Heikin Ashi蜡烛生成信号(真/假)。 - notifications: 启用或禁用信号提醒。 #### ATR计算: ATR测
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Ottaviano De Cicco
5 (7)
Azimuth Pro V2:MT5合成分形结构分析与确认入场 概述 Azimuth Pro 是 Merkava Labs 推出的多层级波段结构指标。四层嵌套波段层级、锚定波段的VWAP、ABC形态识别、三时间框架结构过滤以及收盘确认入场——一个图表,一个从微观波段到宏观周期的完整工作流程。 这不是盲目的信号产品。它是一个以结构为先的工作流程,专为重视位置、背景和时机的交易者打造。 ️ 夏季促销 — 庆祝夏至与 The Oracle Pro 上市:Azimuth Pro 七折优惠,现价 279 美元(原价 399 美元)。限时夏季优惠。 1. V2的变化 合成多时间框架引擎 高时间框架分析从零开始重建,采用与Meridian Pro相同的专有合成架构。更清晰的HTF背景、稳定的实时行为、无经典MTF同步问题。合成引擎还解锁了 固定比率时间框架级联 (x2、x3、x4、x6)——不再在经纪商的固定时间框架之间任意跳转,您可以按图表时间框架的固定倍数分析结构,在每个尺度上保持相同的分形关系。 确认入场箭头 作为稳定且可恢复的执行层而设计的收盘确认箭头。当ABC设置形成且自适应确认逻辑
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Shengzu Zhong
5 (4)
SkyHammer Signal Pro Professional No-Repaint Trend Signal Indicator with Locked Entry, SL and TP Levels SkyHammer Signal Pro is a structured trend and momentum signal indicator designed for traders who want clear, fixed, and verifiable trading signals. It works best on lower timeframes such as M1 and M5 . The indicator does not try to predict tops or bottoms. Instead, it waits for confirmed market structure, trend direction, momentum strength, volatility quality, and target space before generati
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Daniel Stein
5 (9)
Power Candles V3 - 自我优化的强度指标 Power Candles V3 把货币与品种的强度直接转化为图表上可执行的交易方案。指标不再仅根据强度给K线着色,而是在后台持续运行实时自动优化,为您正面对的品种给出最佳 Stop Loss、Take Profit 与信号阈值。一键采用,Entry、Stop Loss、Take Profit 线就以精确价格绘制在图表上,提醒消息中直接包含方向。 本工具是 Stein Investments 生态系统的一部分 - 18+ 款工具,加上 Max,您的一对一 AI 交易导师。  随时在线,深入了解每一款指标,在您需要梳理思路的那一刻就在那里。  立即认识他: https://stein.investments 每根收盘K线运行 3,000+ 次交易模拟。9 种强度状态。2 种策略并行测试。一键采用最优配置。 为什么需要这个 大多数强度指标只给您一个数值,然后留下三个问题:相信哪个阈值、用哪个 Stop Loss、走哪个交易方向。Power Candles V3 在每根收盘K线上自动回答这些问题。结果就是一个完整的交易方案 -
本产品已针对 2026 年市场进行更新,并针对最新 MT5 版本进行了优化。 价格更新通知: Smart Price Action Concepts 目前价格为 $200 。 接下来的 30 次购买 后,价格将上涨至 $299 。 特别优惠: 购买后,请发送私信给我,即可领取 免费赠品 + 礼物 。 首先需要强调的是,这款交易工具是不重绘、不回绘、不延迟的指标,因此非常适合专业交易使用。 Online course , and manual Smart Price Action Concepts 指标是一款非常强大的工具,适合新手和有经验的交易者使用。它将 20 多个实用指标整合到一个系统中,结合了 Inner Circle Trader Analysis 和 Smart Money Concepts Trading Strategies 等高级交易理念。该指标专注于 Smart Money Concepts,帮助交易者理解大型机构如何交易,并辅助预测其市场行为。 它特别擅长流动性分析,使交易者更容易理解机构交易逻辑。它也非常适合预测市场趋势并仔细分析价格走势。通过让交易与机构策略保
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Eugen-alexandru Zibileanu
5 (5)
全新王者降临 - 指标 + 订单管理提示(TP1 + TP2 + TP3)+ 可选 Telegram 信号发送器 INCLUDED(免费) (完整交易与信号系统) 我们最强的黄金 EA: Gold Slayer 该指标包含先进的交易策略、可自定义订单管理系统,以及结合 Envelope 扩展的均值回归系统,并通过 RSI 等多重智能确认过滤器进行验证,以捕捉高概率反转入场机会,提供 BUY 与 SELL 信号。 你不仅能够学习如何交易,还能学会如何高效管理多个仓位,并利用之前盈利的持仓来覆盖亏损交易。 专为 M5 周期打造并优化,在 BTCUSD 和 XAUUSD 上表现尤为出色,因为这些市场的流动性能够让信号更加干净、可靠。 该指标会自动生成清晰的多头(Long)与空头(Short)信号,同时基于 ATR 自动计算入场位、止损位和止盈位,让风险管理从一开始就融入系统之中。 多 TP 系统设有三个渐进式目标位,你可以在 TP1 锁定部分利润、在 TP2 继续持仓,并在更大的行情中将仓位持有至 TP3,而这正是平均风险回报比真正开始大放异彩的地方。 默认参数开箱即用,已经针对稳定表现进行
Volume flow Profile
Israr Hussain Shah
大师版是一款专业级的分析工具,旨在通过成交量和资金流向的视角来可视化市场结构。与标准的成交量指标不同,该工具直接在图表上显示每日成交量分布,让您准确看到价格发现发生的位置以及“聪明钱”的定位。 此大师版专为清晰度和速度而设计,具有独特的自动主题同步系统,加载后即刻美化您的图表布局。 主要特点: 真实资金流向计算: 超越标准的跳动量。启用“Use Money Flow”时,成交量按价格加权,揭示了特定价格水平的实际资金投入。 价值区域 (VA) 可视化: 自动计算价值区域(默认为成交量的70%)。 VA填充: 为价值区域背景着色,以便即时识别控制区域。 关键水平: 清晰标记控制点 (POC)、价值区域高点 (VAH) 和价值区域低点 (VAL)。 专业标记系统: 扫描概况结构以识别关键交易区域: HVN (高成交量节点): 接受和盘整区域(支撑/阻力)。 LVN (低成交量节点): 拒绝区域或“快速通过”区域。 所有标记均向右绘制延长线,便于监控。 Delta 背离(左侧直方图): 左侧直方图可视化每个级别的买卖压力对比。这有助于识别隐藏的背离——即价格可能上涨,但卖家在这些水平上激进打
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Siarhei Vashchylka
5 (12)
Gartley Hunter Multi - An indicator for searching for harmonic patterns simultaneously on dozens of trading instruments and on all possible timeframes. Manual (Be sure to read before purchasing) | Version for MT4 Advantages 1. Patterns: Gartley, Butterfly, Shark, Crab. Bat, Alternate Bat, Deep Crab, Cypher 2. Simultaneous search for patterns on dozens of trading instruments and on all possible timeframes 3. Search for patterns of all possible sizes. From the smallest to the largest 4. All fou
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Garry James Goodchild
5 (4)
BTMM State Engine Pro by G-Labs — Beat The Market Maker indicator for MetaTrader 5. Asian session range, London and New York kill zones, level progression (L1/L2/L3), peak formation detection (PFH/PFL), entry signals, and a multi-pair scanner from one chart. Stop scanning charts one pair at a time. The State Engine tracks the BTMM daily cycle automatically — Asian box, room boundaries, level blocks, peak formations, and filtered entries — while the scanner dashboard shows level, peak status, d
The Oracle Pro
Ottaviano De Cicco
5 (1)
The Oracle Pro:用于 MT5 的合成多周期偏向引擎 ️ 夏季上市优惠 — 早期买家可以 199 USD 获得 The Oracle Pro。价格将随关注度上升;最终价格 399 USD。 The Oracle Pro 是一款面向高要求与专业交易者的 MetaTrader 5 高级多周期 偏向引擎 。它以纪律回答一个问题:当前每个周期的方向偏向是什么、强度如何、各周期之间的一致程度如何?一切仅在已收盘的 K 线上计算——绝不重绘。 The Oracle Pro 是一套多因子共识系统。它将专有指标与优化算法整合为单一而精密的共识向量,并在单个指标实例内,跨当前周期与更高周期的堆栈进行读取——而不是在多个图表上堆叠互不相关的工具。 它是 Oracle 共识方法的专业进化版:完整重建为高级操作控制台,面向希望在一个纪律化工作流中获得深度、多周期背景与背离洞察的交易者。 是偏向引擎,而非信号生成器 The Oracle Pro 明确自身定位。它是一款提供纪律化方向背景的 多周期多因子偏向指标 。它 不是 信号生成器:不承诺入场、出场或盈利。偏向是背景——你在其方向上交易自己的设置
作者的更多信息
Average Session Range: Calculate and Average the Sessions High-Low Range of Specific Time Sessions Over Multiple Days. The Session Average Range is a sophisticated and precise tool designed to calculate the volatility of specific time sessions within the trading day. By meticulously analyzing the range between the high and low prices of a defined trading session over multiple days, this tool provides traders with a clear and actionable average range. **Note:** When the trading platform is closed
FREE
Session Average Date Range: Analyze and average the low - high of specific trading sessions within custom date ranges, offering insights into price movements and market behavior over selected periods. The "Session Average Date Range" tool is an advanced analytical utility designed to empower traders and analysts by allowing them to dissect and evaluate the high and low range of specific trading sessions within a user-defined date range. This tool provides a flexible and precise approach to analy
FREE
Average Session Range MT4: Calculate and Average the Sessions High-Low Range of Specific Time Sessions Over Multiple Days. The Session Average Range is a sophisticated and precise tool designed to calculate the volatility of specific time sessions within the trading day. By meticulously analyzing the range between the high and low prices of a defined trading session over multiple days, this tool provides traders with a clear and actionable average range. **Note:** When the trading platform is cl
FREE
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 wit
FREE
Session Average Date Range: Analyze and average the low - high of specific trading sessions within custom date ranges, offering insights into price movements and market behavior over selected periods. The "Session Average Date Range" tool is an advanced analytical utility designed to empower traders and analysts by allowing them to dissect and evaluate the high and low range of specific trading sessions within a user-defined date range. This tool provides a flexible and precise approach to analy
FREE
Session Expected Risk Date Range Analyzer:  Analyzes price data across specified date ranges to provide detailed insights into financial risk and volatility, using each bar's price metrics for accurate risk assessment. The Session Expected Risk Date Range Analyzer is a sophisticated tool designed to offer traders and analysts detailed insights into the expected financial risk across specific date ranges. Unlike traditional session-based analysis, this indicator focuses on calculating risk metr
FREE
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
FREE
Symbol Swap Panel: Effortlessly switch the active symbol on your chart while simultaneously adding the new symbol to Market Watch. This tool ensures seamless integration and access to real-time market data, optimizing your trading workflow. **Note:**    When switching to a different symbol, it's recommended to switch back and forth between timeframes to ensure that the panel loads properly.   Description: The "Symbol Swap Panel" is a versatile utility designed for traders seeking to manage the
FREE
Symbol Swap Panel: Effortlessly switch the active symbol on your chart while simultaneously adding the new symbol to Market Watch. This tool ensures seamless integration and access to real-time market data, optimizing your trading workflow. Description: The "Symbol Swap Panel" is a versatile utility designed for traders seeking to manage their chart symbols and Market Watch more efficiently. This tool allows you to easily swap the current symbol on your chart while automatically adding the se
FREE
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