Manzano Market Intelligence Matrix

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Manzano Market Intelligence Matrix

Every trade is shaped by far more than the chart in front of you. Currency strength, asset correlations, market session, and overall portfolio exposure all influence any decision you make. Manzano Market Intelligence Matrix was built to deliver exactly that kind of context — all from a single professional panel inside MetaTrader 5.

This indicator is designed to complement any trading methodology by providing objective context before you act. Instead of switching between windows, comparing pairs manually, layering separate indicators, and calculating relationships on the fly, Manzano Market Intelligence Matrix brings the key pieces of market analysis together into one clean, visual, action-oriented interface.

It is a tool built for traders who need context. Context to understand which currencies are dominant. Context to spot which pairs show the greatest relative imbalance. Context to avoid duplicating risk through correlated positions. Context to assess whether a trade idea holds up across multiple timeframes. And context to know whether your portfolio is already too heavily tilted toward a single currency.

The problem it solves

Many traders analyse each chart in isolation — but the forex market and CFDs behave as a network. EURUSD, GBPUSD, USDJPY, XAUUSD, indices, and other instruments often move in related ways. Opening several positions that look different on the surface can, in practice, mean taking on the same type of risk multiple times.

It is also common to find setups that look attractive on a single chart but lose quality once you factor in currency strength, spread, the active session, or correlation with other instruments. Manzano Market Intelligence Matrix helps cut through that noise and lets you work with a more structured view of the market.

Before looking for an entry, it pays to know where the real strength is, where the weakness lies, which pairs show the most meaningful imbalance, what market relationships could affect the trade, and what exposure already exists in the account.

Why it is different

Manzano Market Intelligence Matrix is not just a correlation matrix. It is not just a currency strength meter. It is a market intelligence panel made up of several interconnected modules brought together into a single visual experience.

Most tools show one dimension at a time: correlation, strength, spreads, or exposure. This indicator combines multiple useful readings so traders can interpret the market from different angles without leaving the main chart.

The difference lies in how it organises information — turning scattered data into an actionable read of the market. The panel does not just display numbers; it structures them so they become operationally useful. You can move from a broad market overview to a correlation matrix, then to relative currency strength, then to a ranked opportunity list, and finally to your real portfolio exposure — all in one place.

What the trader gets

·        Automatic Market Regime detection to quickly understand the current operating context.

·        Strong and weak currencies classified visually across multiple timeframes.

·        Correlation relationships between selected symbols, showing both strength and direction.

·        A dynamic opportunity ranking built on a multi-criteria confluence system.

·        A session filter to better evaluate which pairs make sense at any given moment.

·        Multi-timeframe alignment to assess whether a trade idea holds across different scales.

·        Currency exposure analysis to detect risk concentration in open positions.

·        Quick chart access directly from the panel to review instruments of interest.

 

The 5 panel tabs

1. Overview

The Overview tab gives you a fast read of the market. It is designed to answer the most important question before trading: what is happening right now. This view shows the Market Regime, the strongest and weakest currencies, the active session, the number of monitored symbols, and an initial selection of highlighted opportunities.

It is the ideal starting screen for understanding general market context before drilling into specific setups or beginning a new trading session. In a matter of seconds you can see where buying or selling pressure may be building and which instruments are worth a closer look.

2. Correlation

The Correlation tab displays a visual matrix across the symbols you have selected. It helps identify positive, negative, or weak relationships between assets. This is especially useful for avoiding overexposure, confirming related moves, or spotting instruments that are behaving independently.

A strong positive correlation can suggest two instruments tend to move in the same direction. A strong negative correlation can point to opposite behaviour. A weak relationship can be useful when looking for diversification or wanting to reduce dependency between open trades.

This tab turns what would normally require external calculations into an immediate, easy-to-read view.

3. Strength

The Strength tab ranks the relative strength of currencies across configurable timeframes. Rather than looking at a single pair, you can see which currency is gaining momentum and which is losing traction across the full set of available pairs.

The multi-timeframe reading helps distinguish between short-term moves and more consistent conditions. A currency showing strength across several timeframes may indicate more sustained pressure, while a divergence between timeframes can suggest caution or the need for additional confirmation.

The table also makes it easy to compare currencies against each other and identify combinations with the greatest relative imbalance — particularly useful for forex traders.

4. Opportunities

The Opportunities tab prioritises trade candidates based on overall market context confluence. This is not an automated signal or a guarantee of a perfect entry. It is an organised list of pairs that, at that moment, show a favourable combination of analytical factors.

Each opportunity is presented with a directional bias, quality label, relative currency differential, component scoring, timeframe alignment, and a suggested timeframe for reviewing the entry. The STRONG, MODERATE, and WEAK labels help you prioritise without cluttering the screen with unnecessary figures.

This approach is especially useful for discretionary, semi-systematic, or rules-based traders who already have an entry method but want to improve their instrument selection process.

5. Exposure

The Exposure tab analyses portfolio exposure by currency based on open positions. This makes it easy to spot a very common problem: believing you have several independent trades open when, in reality, all of them depend on the same currency.

For example, multiple long or short positions linked to USD, JPY, GBP, or EUR can silently concentrate risk. The exposure module helps you visualise that concentration before adding new positions.

For traders managing several simultaneous trades, this tab can become a key tool for risk control and operational discipline.

Real-world use cases

·        Session preparation: review which currencies are leading and which are lagging before the European or US session opens.

·        Pair selection: choose the instrument with the best relative imbalance instead of trading the first chart that looks interesting.

·        Context confirmation: check whether a trade idea holds up across multiple timeframes before committing.

·        Correlation check: avoid opening trades that are, in effect, driven by the same underlying market move.

·        Portfolio management: review currency exposure before scaling into new positions.

·        Multi-asset analysis: observe relationships between forex, metals, indices, and other symbols added by the user.

 

Recommended workflow

1.     Start with Overview: identify the active session, the strongest and weakest currencies, and the leading opportunities.

2.     Review Strength: confirm whether relative strength is consistent across multiple timeframes.

3.     Check Opportunities: shortlist the pairs with the best confluence for a deeper analysis.

4.     Check Correlation: avoid doubling up on risk with highly related instruments.

5.     Review Exposure: make sure the new trade idea does not increase portfolio concentration beyond acceptable levels.

6.     Open the instrument’s chart: apply your own entry, management, and exit strategy to make the final call.

 

Who it is designed for

Manzano Market Intelligence Matrix is designed for forex and CFD traders who want to improve the quality of their decisions through a more complete pre-trade analysis of market context. It can be useful for scalpers, intraday traders, swing traders, and anyone working with multiple currencies or symbols at the same time.

It is particularly well suited to traders who already have a strategy but want to sharpen their market selection process. It is also useful for those who feel they waste too much time comparing pairs manually or who frequently enter repeated trades because they have not checked correlations and overall portfolio exposure beforehand.

Advantages over using multiple separate indicators

·        Less clutter: all the key information is concentrated in a single panel.

·        Faster reads: the tabs organise information clearly without overwhelming the chart.

·        Greater coherence: strength, correlation, opportunities, and exposure are all reviewed within the same workflow.

·        Better discipline: helps verify market context before opening new trades.

·        Higher efficiency: reduces the time spent comparing symbols manually.

 

Key parameters

The indicator allows you to configure the monitored symbols, the pairs used for currency analysis, the strength timeframes, the correlation period, opportunity filters, update behaviour, panel position, cell sizing, and the action triggered when clicking on interactive elements.

This makes it possible to adapt the panel to different trading styles, brokers, symbol lists, and visual preferences. For initial use, it is recommended to start with the default configuration and progressively adjust the symbols and filters based on the markets you trade.

Usage recommendations

·        Use the panel as a context filter before applying your entry system.

·        Do not trade an opportunity simply because it appears in the ranking.

·        Always review spread, session, volatility, and relevant news.

·        Check portfolio exposure before adding new positions.

·        Maintain risk management that is consistent with your account size and trading style.

·        Test the tool on a demo account or with reduced risk first, until it becomes a natural part of your routine.

 

Legal and risk disclaimer

Manzano Market Intelligence Matrix is an analysis and decision-support tool. It does not constitute financial advice, an investment recommendation, or any guarantee of results. Trading in forex, CFDs, and other financial markets involves significant risk and may not be suitable for all investors.

The user is solely responsible for their trading decisions, the configuration used, risk management, and compliance with their broker’s terms and conditions. Past results, market readings, or conditions identified by the indicator do not guarantee future performance.

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Ay Xauusd Expert
Atsuko Yamashita
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Gold Momentum Shield EA The Smart Way to Trade XAUUSD: Trend Following with Volatility Protection Stop gambling with dangerous Martingale or Grid systems. Gold Momentum Shield is a professional algorithmic trading solution designed for Gold . This EA doesn’t try to predict the future and it follows the real institutional money flow by combining momentum confirmation with advanced volatility-based protection. Unlike basic EAs that enter trades blindly, Gold Momentum Shield uses a triple-filter
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Ricardo Rodrigues Lucca
This strategy was learned from Stormer to be used on B3. Basically, 15 minutes before closing the market, it will check RSI and decided if it will open an position. This strategy do not define a stop loss. If the take profit reach the entry price it will close at market the position. The same happens if the maximal number of days is reached. It is created to brazilian people, so all configuration are in portuguese. Sorry Activations allowed have been set to 50.
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Sergey Batudayev
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AL MOOSAWI ABDULLAH JAFFER BAQER
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Ignacio Agustin Mene Franco
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Dansie Software Limited
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Gold Crazy EA MT5
Nguyen Nghiem Duy
Gold Crazy EA   is an Expert Advisor designed specifically for trading Gold H1/ EU M15. It use some indicators to find the good Entry. And you can set SL or you can DCA if you want. It can be an Scalping or an Grid/ Martingale depend yours setting. This EA can Auto lot by Balance, set risk per trade. You also can set TP/ SL for earch trade or for basket of trade. - RSI_PERIOD - if = -1, then the default strategy works, if >0, then the RSI strategy works - MAX_ORDERS - to trade with only 1 order,
Angus Orderflow Heatmap
Mr Monthon Chaipreechapat
Volume Footprint & Heatmap Indicator This indicator combines Volume Footprint and Heatmap visualization, inspired by the Order Flow and Heatmap concepts found in Bookmap. Unlike futures markets, the Forex market does not provide real exchange-traded volume data. Instead, it only offers Tick Volume . This indicator is designed to simulate Bookmap-style market visualization as closely as possible using the available Tick Volume data. Because the indicator relies on Tick Volume, the quality and acc
Matrix Arrow EA MT5
Juvenille Emperor Limited
5 (7)
Matrix Arrow EA MT5   是一款独特的智能交易系统,可以通过图表上的交易面板手动或 100% 自动交易   Matrix Arrow Indicator 的 MT5   信号。   Matrix Arrow Indicator MT5   将在其早期阶段确定当前趋势,从多达 10 个标准指标中收集信息和数据,它们是:平均定向运动指数 (ADX) , 商品渠道指数 (CCI) , 经典 Heiken Ashi 蜡烛 , 移动平均线 , 移动平均收敛散度 (MACD) , 相对活力指数 (RVI) , 相对强弱指数 (RSI) , 抛物线SAR , 随机振荡器 , 威廉姆斯的百分比范围 。 当所有指标给出有效的买入或卖出信号时,相应的箭头将打印在图表上,在下一个蜡烛/柱线的开盘时表示强劲的上升趋势/下降趋势。用户可以选择使用哪些指标,并可以单独调整每个指标的参数。使用   Matrix Arrow EA MT5 ,您可以直接从图表上的交易面板手动交易   Matrix Arrow Indicator MT5   信号,或使用 100% 算法交易选项   100% 自动交
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5 (1)
Chronos Fractal Engine is an innovative price projection indicator for MetaTrader 5, designed to transform your technical analysis by intelligently identifying and projecting historical price patterns. Built upon an advanced correlation algorithm and the fractal principles of the market, this powerful tool visualizes potential future price movements, giving you a unique edge in your trading decisions. What is Chronos Fractal Engine? At its core, the Chronos Fractal Engine employs a sophisticat
Footprint 是一款用于分析订单流 (Order Flow) 和成交量的指标。 它有助于在聚类层面识别市场结构,寻找活动增加的关键区域,并直接在图表上使用过滤器,无需不断打开设置窗口。 Footprint 指标功能 Bid x Ask, Delta 聚类图表; 图表上的控制面板; 用于调整过滤器的滑块; Absorption; Initiative; Stacked Imbalances; Big Trades; dPOC / Dynamic Point of Control; Delta; 侧边市场轮廓 (Market Profile); 累计 Delta (Cumulative Delta)。 核心优势 在密集的 Tick 流上快速计算和渲染数据; 图表内管理 — 主要模式和过滤器可直接在图表上切换,无需打开设置; 通过过滤突出显示重要的价格水平和聚类; 视觉信号高亮:吸收、主动性、失衡和大单交易; 按日、周或当前可见范围显示的侧边轮廓; 包含总成交量、Delta 和累计 Delta 的面板。 Footprint 帮助您确定: 重要成交量集中的位置; 主动性压力出现的位置;
SmartScalping
Temirlan Kdyrkhan
SmartScalping 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 e
ScalpPoint
Temirlan Kdyrkhan
ScalpPoint 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 emai
TrendProMaster
Temirlan Kdyrkhan
MasterTrend Indicator for MT5 A powerful trend-following and signal-evaluation tool MasterTrend   is a custom MT5 indicator that combines Moving Averages and ATR-based risk/reward logic to generate clear buy/sell signals. It visualizes dynamic SL/TP levels, evaluates past trade outcomes, and displays win/loss statistics in a clean on-chart panel. Key features include: Buy/Sell signals based on MA crossovers ATR-based SL/TP1/TP2/TP3 levels with visual lines and labels Signal outcome tracking wit
MasterTrend
Temirlan Kdyrkhan
MasterTrend Indicator for MT5 A powerful trend-following and signal-evaluation tool MasterTrend   is a custom MT5 indicator that combines Moving Averages and ATR-based risk/reward logic to generate clear buy/sell signals. It visualizes dynamic SL/TP levels, evaluates past trade outcomes, and displays win/loss statistics in a clean on-chart panel. Key features include: Buy/Sell signals based on MA crossovers ATR-based SL/TP1/TP2/TP3 levels with visual lines and labels Signal outcome tracking wit
Meravith MT5
Ivan Stefanov
5 (3)
做市商工具。 Meravith 将: 分析所有时间周期并显示当前正在运行的趋势。 标注流动性区域(成交量均衡区),即多头与空头成交量相等的位置。 在您的图表上直接显示来自不同时间周期的所有流动性水平。 生成并展示基于文本的市场分析供您参考。 根据当前趋势计算目标位、支撑位和止损位。 计算交易的风险回报比。 根据您的账户余额计算仓位大小,并估算潜在利润。 在市场出现重大变化时,Meravith 还会发出警告。 指标的主要线条: 多头/空头成交量衰竭线 —— 作为目标位使用。 趋势线 —— 指示市场趋势方向。根据市场是多头还是空头而改变颜色,并作为趋势支撑。其颜色主要反映市场情绪。 成交量均衡线(Eq)—— Eq(Volume Equilibrium)是系统的核心。它表示买卖双方成交量的平衡点,即市场流动性所在位置。向上突破 Eq 表示多头倾向,向下突破 Eq 表示空头倾向。突破后,应等待回调——当价格回到相反趋势的偏离线或衰竭线附近时。 使用方法:只需将其添加到图表中。 Meravith 可以分析一切——趋势和回调。 趋势线与某条成交量衰竭线之间的距离越大,说明该方向的成交量越高。 趋势
MetaTrader 5 智能多层突破与回调探测器 "智能 · 简单 · 快速!" 您是否厌倦了错过高概率的突破入场机会? 您是否花费数小时扫描多张图表,试图将突破与趋势方向和货币动能对齐——却仍然错过了行情? Break Pullback 用一个指标解决所有这些问题。 什么是 Break Pullback? Break Pullback 是一款专业级 MetaTrader 5 指标,专为交易市场结构、突破和趋势延续形态的交易者而设计。 它能实时自动检测多个货币对的突破与回调形态——并通过三层确认过滤每个信号: 结构突破检测——识别图表上的关键突破位 高时间框架日线偏向——将入场与主导日线趋势方向对齐 货币强弱指数——确认配对货币间的动能失衡 结果:更少的虚假信号,更强的信心,更快的执行——无需面对图表过载。 适合哪些交易者? Break Pullback 专为使用以下方法的交易者设计: 突破与回测策略 市场结构分析(BOS、 OB Order Block 、结构位) 聪明钱概念(SMC)或 ICT 风格入场 趋势跟踪与延续形态 跨外汇和黄金(XAUUSD)的多对扫描 日内和波段
SMC Institutional Suite
Catur Cipto Nugroho
SMC Institutional Suite v3.7 Professional Smart Money Concept Indicator for MetaTrader 5 What is New in Version 3.7 - Visual Stability Update This release focuses entirely on one goal: making every zone, label, and line on your chart rock-solid stable. There is no more flickering, no more zones disappearing on a new candle, and no more duplicate drawings. Order Block (OB) zones no longer flicker or disappear. Once drawn, they stay permanently on the chart. Equal Highs and Equal Lows (EQH / EQL)
“ Dynamic Scalper System MT5 ”指标专为在趋势波内进行剥头皮交易而设计。 已在主要货币对和黄金上进行测试,并可与其他交易工具兼容。 提供顺势短线建仓信号,并提供额外的价格变动支持。 指标原理: 大箭头决定趋势方向。 在趋势波内,我们采用一种生成小箭头形式的剥头皮交易信号的算法。 红色箭头代表看涨方向,蓝色箭头代表看跌方向。 敏感的价格变动线会沿着趋势方向绘制,并与小箭头信号协同作用。 信号运作方式如下:当线在适当时刻出现时,将形成入场信号;在出现线时,持仓;线完成后,平仓。 建议的操作时间范围为M1 - H4。 箭头在当前K线上方形成,如果下一根K线已开仓,则不会重新绘制上一根K线上方的箭头。 输入参数 Trend Wave Period - 趋势方向(大箭头)的周期,改变趋势波的时间间隔。值 1 表示趋势方向的最长持续时间,参数值越大,持续时间越短。 Scalper Arrows Period - 信号箭头(小箭头)的计算周期,改变入场信号的生成频率。值 3 表示最频繁的生成频率,参数值越大,箭头频率越低,准确度越高。 这些参数可以根据不同
VTrende Pro
Andrii Diachenko
5 (1)
VTrende Pro - MTF indicator for trend trading with a display panel for MT5 *** Videos can be translated into any language using subtitles (video language - Russian) Although the signals of the VTrende Pro indicator can be used as signals of a full-fledged trading system, it is recommended to use them in conjunction with the Bill Williams TS. VTrende Pro is an extended version of the VTrende indicator. Difference between Pro version and VTrende: - Time zones - Signal V - signal 1-2 waves -    S
==================================================================== SMC Pro v6.1 APEX AI — XAUUSD Gold Empire MetaTrader 5 指标 · Smart Money Concepts · 预测智能引擎 ==================================================================== SMC Pro v6.1 APEX AI 是一套专业的 Smart Money Concepts 指标系统,专为 MetaTrader 5 上的 XAUUSD(黄金)打造。 它将完整的 SMC 框架——Order Blocks、Liquidity sweeps(流动性扫荡)、Fair Value Gaps、Break of Structure、Change of Character——与 8 个全新的 AI 驱动模块相结合,直接在图表上呈现精准的可视化信号、预测轨迹线、彩色的 SL/TP 风险回报框,以及三级自适应 TP Ladde
ARICoins
Temirlan Kdyrkhan
ARICoin 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 Cust
Scalping Winning Signals Pro SWS
Muhammad Usman Siddique
5 (1)
UZFX SWS {剥头皮盈利信号} Pro v1.0是由Usman Zabir(UZFX实验室)专为剥头皮交易者、日内交易者及波段交易者开发的强力无重绘指标,旨在快速波动市场中提供精准入场信号。特别适合追求可靠实时信号、拒绝延迟或虚假重绘的交易者。 我推荐*的最佳时间周期:30分钟及以上。 {1小时}是我的首选,其效果令人惊叹...! 注意:与{ LTL 164343 }指标结合使用,可提高获胜信号率。 使用 LTL 信号判断趋势,利用 SWS 信号确定入场时机。 这种方法将最大化您的胜率,并有效规避虚假信号。 核心功能包括: 清晰的视觉箭头标示近期及历史信号(可选点状显示过往信号)。 自动计算并绘制交易线:入场点、止损位(基于近期震荡高低点)及多档止盈位(风险回报比1:1、2:1、3.5:1——完全可自定义)。 图表信息面板实时显示最新信号详情、入场价、止损位及止盈位。 全面警报系统:弹窗提示、声音提醒、推送通知及邮件提醒。 图表自定义选项(颜色、背景、K线样式)。 内置许可证过期系统保障安全分发(可通过更新日期续期)。 适用于所有货币对、大宗商品及时间周期,UZFX SWS
ZIVA Signal Intelligence
Hassan Abdullah Hassan Al Balushi
ZIVA Signal Intelligence An Adaptive, Modular Market Intelligence System ZIVA Signal Intelligence is not positioned as a conventional trading indicator. It is a fully integrated, proprietary market intelligence system engineered to deliver structured, high-precision interpretation of price behavior within a controlled analytical environment. Developed through an independent architectural approach, ZIVA does not rely on, derive from, or replicate existing indicators. It represents a standalone
Euro Escalper
Cristofher Robles
Euro Escalper— Zhuan Ye Ji Gou Ji Tou Pi Zhi Biao Euro Escalper shi yi kuan gao xing neng jiao yi zhi biao, zhuan wei xu yao ji gou ji jing zhun ru chang de jiao yi zhe she ji. Shi yong yu he cheng zhi shu (Deriv), wai hui ji MetaTrader 5 shang de ren he zi chan. Jie he le ji yu Fibonacci de liu dong xing qu yu, nei zhi SuperTrend yin qing he shi shi zhuan ye kong zhi mian ban. Zhu Yao You Shi Wu Chong Hui: Xin hao jian tou jin zai K xian shou pan shi chu xian, yong yuan bu hui yi dong huo xiao
TraderHUD
Justino Porto Neto
5 (1)
TraderHUD v2 — 专业交易者的完整面板 TraderHUD v2 是 MetaTrader 5 最完整可视化指标的进化版本。它将交易者在图表上需要看到的所有信息整合到一个工具中,以做出更明智的决策:时间背景、美元强度、统计区间、枢轴点位、运动速度和宏观趋势——全部集成、可配置且不会使图表显得杂乱。 此版本基于实盘交易的实际使用经验构建,遵循明确的理念: 更多背景,更少噪音 。 v2 新增功能 将 8 个模块完全整合到单一指标中 可配置的侧边面板,DayRange 和 DollarFlow 自动衔接 市场时段标记与整点时间一起显示 经典枢轴点,可选择在各水平之间显示均线 两个标记为测试版的实验性模块:波动率和宏观趋势均线 完全可配置的布局——角落位置、宽度、颜色和字体 模块 计时器与点差 当前K线的倒计时,每500毫秒更新一次,不依赖于tick 计时器旁边显示实时点差 可配置的分隔符——计时器默认为"t",点差默认为"s" 智能锚定:当价格接近底部边缘时,文本会自动上移 整点时间与市场时段 垂直线指示下一个整点时间——新资金可能进入的时刻 带有时间和开盘时段名称的标
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Harmonic Pattern Suite Pro
Patricia Manzano Gomez
Harmonic Pattern Suite Pro Introduction Harmonic Pattern Suite Pro is an indicator designed to identify and display harmonic structures on the chart based on X-A-B-C-D sequences. Its purpose is to present pattern formations that meet geometric and proportional criteria, providing a clear visual representation directly on the chart. The indicator automates the detection process, removing the need for manual measurement of ratios and allowing the user to review the structural configuration withou
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Manzano Quant Engine MTT4
Patricia Manzano Gomez
¡¡ 7-Day Free Trial!! info@manzanotrading.com Advanced Statistical Market Structure, Volume Analysis and Decision Support Framework for MetaTrader 5   Manzano Quant Engine is an advanced analytical indicator that combines adaptive trend modelling, statistical deviation analysis, volume-based market structure, multi-timeframe confirmation, and quantitative scoring — all within a single visual framework.   Its objective is not to predict future prices, but to help traders interpret market behaviou
Description Manzano Risk Manager Pro is a risk management tool for MetaTrader 5 designed to monitor open positions and execute automatic or manual closures when user-defined conditions are reached. Its purpose is to help maintain control over account risk and reduce execution errors during trading. The product does not open trades or modify any trading strategy. Main Features Automatic position closing The system allows you to define profit and loss limits and automatically close positions when
Manzano Quant Engine
Patricia Manzano Gomez
Manzano Quant Engine Advanced Statistical Market Structure, Volume Analysis and Decision Support Framework for MetaTrader 5   Manzano Quant Engine is an advanced analytical indicator that combines adaptive trend modelling, statistical deviation analysis, volume-based market structure, multi-timeframe confirmation, and quantitative scoring — all within a single visual framework.   Its objective is not to predict future prices, but to help traders interpret market behaviour more effectively and ma
Manzano Squeeze Pro
Patricia Manzano Gomez
7-day free trial available with full functionality. Contact us at info@manzanotrading.com to request yours. Manzano Squeeze Pro is a professional squeeze momentum dashboard for MetaTrader 5. It is designed to identify periods of low volatility where the market is accumulating energy before a significant directional move, and to help traders position themselves in the direction of that move at the earliest possible moment. The core concept behind Manzano Squeeze Pro is volatility compression. Wh
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