Pair Quant Arbitrage

Pair Quant Arbitrage is a statistical pair-trading indicator for MetaTrader 5 designed to identify temporary relative imbalances between two financial instruments.

Instead of trying to predict the direction of one market in isolation, the indicator analyzes two instruments as a connected system. It evaluates the quality of their current relationship, measures their relative displacement, determines the potential direction of both pair legs, and displays a model-implied equilibrium reference directly on the price chart.

The analysis is built around four connected components:

  • Pair Alignment

  • Beta

  • Quant Deviation

  • Pair Price Implication

What Makes Pair Quant Arbitrage Different?

Many pair-trading tools display only a price ratio, a raw spread, or a separate deviation oscillator. These values may indicate that two instruments have moved apart, but they do not show what that divergence means on the actual price scale of the instrument being traded.

The distinctive feature of Pair Quant Arbitrage is its Pair Price Implication model.

The indicator translates the current behavior of the paired instrument into a Pair-Implied Price for the symbol currently open on the chart. This model-derived value is displayed directly alongside the real market price.

Pair-Implied Price is:

  • not the raw price of the second instrument;

  • not a simple normalized overlay;

  • not a moving average of the current symbol;

  • not a conventional price forecast;

  • not a guaranteed Take Profit level.

It is a dynamic equilibrium reference that accounts for the different price scales and movement sensitivity of the two instruments.

Each Pair-Implied Price value answers a practical question:

Based on the current behavior of the paired instrument and the recent relationship between the two markets, where would the current chart symbol be statistically expected to trade?

The distance between the real price and the Pair-Implied Price makes the relative imbalance visible in the native price units of the current chart.

Core Components

Pair Alignment

Pair Alignment evaluates how consistently the selected instruments are currently behaving in relation to each other.

A sufficiently strong reading indicates that the relationship may be suitable for relative-value analysis. A weak reading suggests that the instruments are behaving too independently for the detected deviation to be treated as a reliable pair condition.

Pair Alignment acts as the final entry-quality filter. A large Quant Deviation alone is not enough to activate an entry signal.

The relationship can be evaluated using price behavior or price returns. An optional absolute-value mode allows the strength of both positive and negative relationships to be analyzed.

Beta

Beta estimates how strongly one instrument responds to movements in the other.

Because paired instruments may have very different prices, volatility levels, and movement amplitudes, their raw movements cannot be compared directly. Beta provides the dynamic scaling required to translate the behavior of the paired symbol into the price context of the current chart symbol.

The sign of Beta is also used when calculating the direction of both pair legs:

  • a positive Beta normally produces opposite trade directions;

  • a negative Beta can produce the same trade direction for both instruments;

  • a zero Beta does not produce a valid pair-entry direction.

This allows the indicator to work correctly with both positively and negatively related instruments.

Quant Deviation

Quant Deviation measures how far the current relationship has moved away from its recent statistical equilibrium.

The displacement is evaluated relative to the pair’s own recent behavior, making the result easier to interpret across instruments with different prices and volatility characteristics.

A potential entry condition is generated only when:

  1. Quant Deviation reaches the configured entry region;

  2. Pair Alignment satisfies the selected relationship-quality requirement.

When Quant Deviation contracts toward the configured exit region, the indicator identifies a potential convergence or pair-exit condition.

The signal colors automatically represent the direction of the pair instrument currently open on the chart.

Pair Price Implication

Pair Price Implication brings the statistical pair model directly onto the main price chart.

When the indicator is attached to Symbol A, the behavior of Symbol B is mapped onto the price scale of Symbol A. When it is attached to Symbol B, the calculation is automatically reversed.

Pair-Implied Price is displayed as individual points or short segments for the calculated bars. This makes it possible to compare the real price with its model-implied counterpart without presenting the implied values as another continuously traded market.

The visual relationship can be interpreted as follows:

  • a small distance indicates that the pair is close to its modeled equilibrium;

  • an increasing distance indicates an expanding relative imbalance;

  • movement of the real price toward the implied values suggests convergence;

  • continued separation indicates that the imbalance is still developing.

Automatic Chart-Role Detection

The user selects Symbol A and Symbol B, while the indicator automatically detects which of them is currently open on the chart.

No manual chart-role setting is required:

  • on the Symbol A chart, Symbol B is mapped to the scale of Symbol A;

  • on the Symbol B chart, Symbol A is mapped to the scale of Symbol B;

  • Quant Deviation colors and signal buffers automatically adapt to the current chart symbol.

For complete chart-specific signals and Pair Price Implication, the indicator should be attached to a chart of either Symbol A or Symbol B.

If it is attached to a third symbol, the relationship metrics can still be calculated, but direction-dependent colors, Pair-Implied Price, and notifications are disabled because that chart has no defined role within the selected pair.

Signal Direction Logic

The indicator calculates the potential direction of both instruments rather than producing a conventional single-symbol BUY or SELL signal.

For a positive Beta:

  • negative Quant Deviation: BUY Symbol A / SELL Symbol B;

  • positive Quant Deviation: SELL Symbol A / BUY Symbol B.

For a negative Beta:

  • negative Quant Deviation: BUY Symbol A / BUY Symbol B;

  • positive Quant Deviation: SELL Symbol A / SELL Symbol B.

The final entry state is activated only after the Pair Alignment filter is satisfied.

An exit state appears when the relative displacement contracts into the configured Quant Deviation exit region.

Main Features

  • Statistical analysis of two financial instruments as a connected pair

  • Automatic detection of Symbol A or Symbol B on the current chart

  • Pair Alignment relationship-quality filter

  • Dynamic Beta scaling

  • Correct signal-direction handling for positive and negative Beta

  • Quant Deviation entry and exit regions

  • Pair-Implied Price displayed on the main chart

  • BUY and SELL colors adapted to the current chart symbol

  • Entry and exit data available through indicator buffers

  • Notifications containing the names and directions of both pair instruments

  • Signals generated from confirmed bars

  • Support for multiple indicator instances

  • Configurable calculation periods, thresholds, colors, and display settings

Typical Workflow

  1. Select two instruments with an economically or statistically meaningful relationship.

  2. Enter their exact broker symbol names as Symbol A and Symbol B.

  3. Attach the indicator to the chart of either selected instrument.

  4. Configure the calculation periods and Pair Alignment requirement.

  5. Wait for Quant Deviation to reach an entry region.

  6. Confirm that Pair Alignment satisfies the configured filter.

  7. Check the calculated direction of both pair legs.

  8. Compare the real price with the Pair-Implied Price.

  9. Monitor Quant Deviation for expansion or convergence toward the exit region.

  10. Apply independent position-sizing and risk-management rules to both positions.

Possible Applications

Pair Quant Arbitrage can be used for:

  • statistical pair analysis;

  • relative-value trading research;

  • identifying temporary divergence between related markets;

  • monitoring potential mean-reversion conditions;

  • analyzing both positively and negatively related instruments;

  • comparing the same pair from either chart perspective;

  • estimating dynamic equilibrium on the current symbol’s price scale;

  • supplying entry and exit states to custom Expert Advisors through indicator buffers.

Important Information

Pair relationships are dynamic and may weaken or break as market conditions change. A strong historical relationship does not guarantee future convergence.

Different trading sessions, missing bars, market gaps, liquidity conditions, and broker-specific price data may affect the calculations. For more consistent results, use instruments with compatible trading sessions and sufficient historical data.

Enter the exact symbol names used by your broker, including any prefixes or suffixes.

Pair Quant Arbitrage is an analytical indicator. It does not open, manage, or close positions. All signals describe relative conditions between two instruments and should not be interpreted as guaranteed market predictions.

Pair-Implied Price is a dynamic analytical reference, not a guaranteed target or trading recommendation.

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(Special New Year promotion - free price!) The indicator displays the actual 'Scale in points per bar' (identical to the manual setting in the Terminal, see screenshot) in the upper right corner of the chart. The displayed value changes INSTANTLY whenever the chart scale is changed! (This is very convenient when planning screenshots). In Settings: Change language (Russian/English), font size of the displayed text, text label offset coefficient from the graph corner, equally in X and Y directi
FREE
成交量分布多模式:按您自己的方式分析成交量,而不是按指标的方式。 大多数成交量分布指标将交易者限制在预定义的分析范围内。但市场并非按照固定的模式运行,所以你的分析也应该如此。 成交量分布多模式指标 让您可以完全自由地决定在何时何地以及如何分析成交量。无论您是研究市场结构、分析交易时段、监控更高时间框架的活动,还是追踪正在形成的竞价行情,该指标都会适应您的交易风格,而不是强迫您去适应它。 Volume Profile Multi-Mode 专为寻求直观工作流程的初学者和要求灵活性的专业人士而设计,它将四种强大的分析方法结合到一个高度交互式和可定制的交易工具中。 四种强大的分析模式 1.       灵活框: 在控制面板中将切换按钮设置为 “灵活框” ,然后点击“创建新的灵活框” 。只需在任何价格结构周围绘制一个矩形,指标即可立即在选定区域内生成成交量分布图。您可以随时移动、调整大小或删除该框,以便在分析发生变化时创建多个独立的分布图,从而同时比较不同的市场结构。 2.       固定范围 :将切换按钮设置为 “固定范围” ,然后单击 “创建新的固定范围” 。图表上会显示两条可移动的垂直
适用于 MT5 的 Crypto_Forex 指标“HTF 移动平均线交叉”。 - 使用强大的 MT5 HTF 移动平均线交叉指标升级您的交易方法。HTF 意味着更高的时间框架。 - 该指标非常适合趋势交易者,尤其适合价格行动入场。 - 它允许您将更高时间框架的快速和慢速移动平均线附加到您当前的图表中 --> 这是专业的方法。 - HTF 移动平均线交叉内置移动端和 PC 端警报。 - 该指标让您有机会以低风险获得可观的利润。 ................................................................................................................. 点击这里查看高质量的交易机器人和指标! 这是仅在 MQL5 网站上提供的原创产品。
ICT Yoshi Pro
Le Quang Thanh
Market Structure, Liquidity and Price Action Analysis for MetaTrader 5 A chart can contain plenty of information and still leave a trader without a clear decision. A BOS label may appear, liquidity may be nearby, and an order block may remain active, yet the real challenge is understanding how those elements relate to one another. ICT Yoshi Pro organizes that process into a cleaner, more disciplined MetaTrader 5 workflow. What ICT Yoshi Pro Does ICT Yoshi Pro is a manual decision-support indicat
HiperCube VIX
Adrian Lara Carrasco
Welcome to HiperCube VIX Discount code for 25% off at Darwinex Zero: DWZ2328770MGM This indicator provide you a real info of market of volume of sp500 / us500 Definition  HiperCube VIX  known as the CBOE Volatility Index, is   a widely recognized measure of market fear or stress . It signals the level of uncertainty and volatility in the stock market, using the S&P 500 index as a proxy for the broad market. The VIX Index is calculated based on the prices of options contracts on the S&P 500 inde
FREE
VFI Quantum
Nikita Berdnikov
5 (1)
Introducing VFI (Volume Flow Indicator) – a trading indicator that analyzes the relationship between volume and price movement to identify key trading opportunities. The indicator displays the strength and direction of volume flow, providing clear signals about potential entry and exit points. Signals are formed based on zero line crossovers, crossovers between the VFI line and its exponential moving average (EMA), and when the indicator exits overbought and oversold zones. Attention! This stra
FREE
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Ottaviano De Cicco
5 (7)
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Temirlan Kdyrkhan
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TrendMaestro5
Stefano Frisetti
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Daniil Sleptsov
5 (1)
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The Zone Trading Indicator is a technical analysis tool for MetaTrader 5 that automatically identifies and displays tradable price zones across multiple timeframes to assist with structured market analysis. The indicator plots Monthly, Weekly, Daily, and H4 tradable zones , allowing traders to view higher- and lower-timeframe price areas simultaneously. These zones are designed to support one-candle–based entry approaches by highlighting predefined areas where price interaction may be monitored.
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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
Boom & Crash & PainX & GainX Ultimate Spike Detector Trade Spikes With Confidence — Not Guesswork Catching spikes should be one of the most profitable strategies in synthetic markets. But for most traders, it becomes one of the most frustrating. You enter too early… price goes against you. You wait for a spike… it never comes. You finally catch one… but don’t know whether to hold or close. You make profit… then give it all back because there’s no exit plan. This is exactly the problem the Ultim
Boom & Crash & PainX & GainX Ultimate Spike Detector Trade Spikes With Confidence — Not Guesswork Catching spikes should be one of the most profitable strategies in synthetic markets. But for most traders, it becomes one of the most frustrating. You enter too early… price goes against you. You wait for a spike… it never comes. You finally catch one… but don’t know whether to hold or close. You make profit… then give it all back because there’s no exit plan. This is exactly the problem the Ultim
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
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Ivan Stefanov
5 (4)
当然,以下是翻译成中文(简体)的版本: 该指标标出市场中显现出 交易兴趣 的区域,并随后显示 订单积累区域 。它的工作方式类似于大规模的订单簿。 这是为 大资金 打造的指标,性能卓越。市场中有任何兴趣,你都能通过它清晰看到。 (这是一个 完全重写的自动化版本 —— 不再需要手动分析。) 交易速度 是一个全新的概念指标,它显示了市场上大订单 何时 、 何地 聚集,并揭示了其背后的意义。它可以在 非常早期 就检测到趋势的变化。 在外汇市场,所谓的“交易量”实际上是误导性的,因为那指的是价格在单位时间内的变化,因此真正的名称应是“交易速度”。 一切都取决于我们如何思考、如何行动、如何分析。 改变分析范式至关重要。 该指标完全重构了外汇市场上“交易量”的概念,用逻辑方式重新定义并应用,从而成为一个 独特而精准的工具 。 使用方法: 默认情况下,指标处于 自动模式 ,可独立用于任何时间周期。如果你希望切换到手动模式,只需点击 Auto / Manual Mode 按钮即可。 在 手动模式 下,所有计算从 2025年1月1日 开始。你可以根据需要更改该日期,以查看不同的分析结果。 最优数据周期
KT Alpha Hunter Arrows MT5
KEENBASE SOFTWARE SOLUTIONS
大多数箭头指标只给你一个信号,然后让你自己去判断剩下的一切。KT Alpha Hunter Arrows 为你提供完整的交易计划。 每一个信号箭头出现时,都会同时绘制一套完整计划:入场线、止损位、四个止盈目标,以及实时优势判断,告诉你当前这个交易品种和时间周期是否值得交易。随附的 Trade Manager EA 会在你手动入场后负责后续执行,让你在市场波动剧烈、情绪干扰明显时也能保持交易纪律。不重绘。仅在K线收盘后确认信号。适用于 Forex、黄金、指数以及任何你在 MT5 上交易的品种。 核心功能 不重绘买入和卖出箭头,只在K线收盘后生成。 每个信号都会显示入场线、结构性止损位和四个止盈目标。 Edge Dashboard 会分别评估当前图表上的买入和卖出机会。 判断系统包括:No Edge、Marginal、Tradeable、Good 或 Strong。 一键 Auto Optimize 按钮可根据当前品种和时间周期自动优化设置。 完整套装包含 Trade Manager EA,并提供五种专为本指标设计的预设交易管理方案。 Prop Firm Risk Panel 可在图表上
RelicusRoad Pro MT5
Relicus LLC
4.96 (24)
RelicusRoad Pro: 量化市场操作系统 终身访问限时 70% 折扣 - 加入 2,000+ 交易员社区 为什么大多数交易者即使拥有“完美”指标也会失败? 因为他们在真空中交易 单一概念 。没有背景的信号是赌博。要持续获胜,您需要 共振 (CONFLUENCE) 。 RelicusRoad Pro 不是一个简单的箭头指标。它是一个完整的 量化市场生态系统 。它描绘价格运行的“公允价值之路”,区分市场噪音和真实的结构性突破。 停止猜测。开始用机构级“路”逻辑进行交易。 核心引擎:“Road” (路) 算法 系统的核心是 Road Algo ,一个实时适应市场条件的动态波动率通道。它投射出 安全线 (平衡) 和价格可能反转的 扩展水平 。 Simple Road: 典型市场的标准结构映射。 Smooth Road: 针对震荡盘整的降噪计算。 Breakout Road: 专为识别波动率扩张和爆发性走势而调整。 1. 算法动量与确认 我们的“剥头皮箭头”不只是简单的交叉。它们利用 高阶多项式逻辑 过滤噪音,确保信号与主周期一致。我们检测动量、价格行为和 Road 结构汇聚的精确入场
==================================================================== 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
看清市场真正在做什么。   在您眼前实时观察三大市场阶段(收缩、扩张、趋势),并在趋势阶段的早期阶段抓住更优的入场点。   不要再猜测。开始像机构和聪明钱那样解读市场。   Apex Market Structure Pro(MT5 版)是一款精准的聪明钱分析工具,它剥离噪音,向您展示每根 K 线之下的真实结构:流动性、结构转变、吸   筹区域与趋势偏向,全部呈现在一个简洁、专业的图层中。专为厌倦了滞后指标、准备以清晰视角交易的严肃交易者打造。   重要提示:本指标专为 Heikin Ashi(平均足)K 线设计。使用前请将图表切换为 Heikin Ashi,以释放其全部威力。全部分析都围绕 Heikin   Ashi 的价格流构建。正是在这里,Apex Market Structure Pro 发挥出最佳表现。   交易者为何选择 Apex Market Structure Pro:   流动性,一览无遗: 瞬间看清止损池所在之处。卖方与买方流动性会被自动标注。实时关注尚未被扫的价位,捕捉价格攫取流动性并反转的精确时   刻。在聪明钱交易的地方交易。   会说话的结构:
AriX
Temirlan Kdyrkhan
1 (4)
AriX Indicator for MT5 A powerful trend-following and signal-evaluation tool AriX 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 with real-time stat
Gold Uptrend Insider
Lawrence Chiiambb Mkandawi
5 (1)
Uptrend Insider A clean and powerful trend-following indicator that helps you catch the beginning of uptrends and exit before the market turns into a range or downtrend. How it works:   Green → Uptrend signal (potential buying opportunity) Orange → Ranging / sideways market possibility but maintain the trend positions just keep an eye for possible ranges and reversals. Red → Downtrend or exit signal (time to close long positions) The indicator is designed to be extremely simple and visual. You o
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
您好,交易员! 大多数散户交易者依赖于滞后的网页脚本。真正具有交易优势需要机构化的架构。 Astro AI 指标并非标准的图表叠加层。它是一个编译后的神经网络,包含两个代理,直接运行在您的终端上。 以下是该系统背后的具体技术: 1. 代理 1:分析师(图神经网络 - GNN) 市场并非孤立的价格柱;它们是相互关联的数据网络。 功能:代理 1 使用图神经网络来映射这些复杂的非线性关系。 优势:标准指标仅考虑单一的历史移动平均线,而我们的 GNN 可以实时处理深层的市场结构关系,在散户交易量发挥作用之前揭示隐藏的相关性。 2. 代理 2:执行器(近端策略优化 - PPO) 模式识别只是成功的一半。基于当前市场波动做出正确的决策,才是预测模型与滞后模型之间的区别所在。 功能:代理 2 使用 PPO(一种先进的强化学习算法)来确定最佳入场点。 优势:它持续调整交易策略,而非使用静态的“超买”或“超卖”线。它会分析当前市场状况并计算最可能的成交点。 执行桥接:通过 ONNX 集成到交易终端 如果执行速度慢,模式识别就毫无用处。我们已通过 ONNX(开放神经网络交换平台)
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
Flag Pattern Angelo
Brighton Mufaro Mudzingwa
Brandon Angelo Flag Pattern — how it works This indicator automatically detects classic bull and bear flag chart patterns in real time. The detection happens in three stages for each bar. First it looks for a flagpole — a sharp, strong directional move over a configurable number of bars ( FlagpoleBars , default 5) that must exceed a minimum percentage size ( FlagpoleMinPct ). For a bullish flag the pole must close net higher than it opened; for a bearish flag, net lower. Second it identifies th
This indicator automatically detects internal & swing market structure, Fibonacci Retracement and Fibo Levels. Features Full internal & swing market structure labeling in real-time Fibonacci Retracement Fibonacci Levels After purchasing the indicator, the full source code is provided, and via indicator buffers it can be easily integrated into your Expert Advisors (EAs) for automated trading strategies.
Chimera Volume
Marko Milenkovic
适用于 MetaTrader 5 的 Chimera Volume 高级成交量分析与市场活跃度可视化 Chimera Volume 是一款为 MetaTrader 5 设计的自定义指标,旨在通过动态视觉框架分析标准化成交量活跃度,并展示市场参与度的变化。 该指标利用自适应标准化算法处理 Tick 成交量数据,生成关于成交量强度、累积阶段以及不同市场条件下活跃度变化的结构化表达。 与显示原始成交量数值的标准成交量指标不同,Chimera Volume 应用了额外的计算方法,以突出市场活动的相对变化并提高图表的可读性。 主要功能 根意图直方图 (Root Intent Histogram): 一种动态直方图,用于可视化标准化成交量强度和市场参与度。该直方图使用自适应颜色过渡,以区分活跃度增加时期与参与度减弱时期。 惯性线 (Inertia Line): 一条由标准化成交量计算得出的平滑分析线。旨在帮助交易者观察成交量动能的变化,并监控扩张期与收缩期之间的转换。 信号线 (Signal Line): 一个用于比较短期和长期成交量表现的次级计算层,在评估市场状况时可作为辅助参考。 自适应成交量
CGE Trading Suite
Carl Gustav Johan Ekstrom
5 (1)
Institutional-Grade Analytics for MT5 The full analytical edge of a professional trading desk, built into your MT5 chart. CGE Trading Suite is an indicator system of 21 integrated modules covering market structure, timing, momentum, volume, capital flow and regime change, combined into a single chart-based workspace. Why CGE Trading Suite? The suite empowers traders with structure, confidence, and consistent performance across all markets and time frames. Hover over any signal or tool on the c
Meravith Scanner
Ivan Stefanov
5 (3)
MERAVITH SCANNER 是一款适用于 MetaTrader 5 的专业金融市场指标,将多种分析工具整合为一个统一的系统。它基于专有的成交量加权平均价格(VWAP)方法自动完成所有计算,完全消除主观判断。 该指标适用于所有资产类别(外汇、股票、指数、大宗商品、加密货币)以及从 M1 到 Monthly 的所有时间周期。其核心原理是价格跟随成交量。MERAVITH 识别机构资金成交量的集中区域,并从该集中区域中推导出数学上精确的价格水平。它不预测,不推测。它只计算。 使用 MERAVITH SCANNER,您可以在 2–3 分钟内扫描全部 28 个主要外汇货币对的所有时间周期。您也可以扫描任何您选择的市场——例如,大约 100 只股票约需 10 分钟。 该指标计算耗尽水平、平衡线、偏差、统计水平以及目标投射。 图表元素 Origin Point 标记所有计算的起始位置。指标会自动将其放置在最佳位置。红色标签(TOP)表示市场高点并带有看跌倾向。绿色标签(BOTTOM)表示市场低点并带有看涨倾向。 Sentiment Line 是一条动态曲线,反映基于成交量加权计算得出的市场情绪。
OrderFlow Absorption – 專業級MT5買賣差與吸收訊號指標 釋放真正訂單流分析的力量,OrderFlow Absorption 是MetaTrader 5上最強大的買賣差(Delta)直方圖與吸收訊號指標。專為想看清每一個價格波動背後真相的交易者設計,這個工具揭示了隱藏的買賣壓力與推動市場的吸收事件。 功能特色 買賣差直方圖視覺化:   以清晰的色彩直方圖即時顯示買方與賣方壓力。 吸收訊號偵測:   先進邏輯自動辨識多空吸收事件,及早預警潛在反轉。 圖表標記:   吸收訊號直接標示於主圖表,方便視覺辨識。 彈出式警報:   新吸收訊號出現時即時通知。 自訂門檻:   過濾弱訊號,專注高勝率機會。 資源管理:   高效運算,適用於大型圖表也能流暢運行。 全品種兼容:   適用於任何商品與週期,包括外匯、指數、商品等。 簡易整合:   參數簡單,快速上手與調整。 OrderFlow Absorption 的邏輯說明 OrderFlow Absorption 採用專利演算法,能在沒有完整Tick數據的情況下,估算每根K棒的買賣壓力(Delta)。它分析成交量、價格行為、K
作者的更多信息
Imbalance Volume Trend is a professional indicator for MetaTrader that combines Fair Value Gap (FVG) / Imbalance zones with volume imbalance analysis and a trend engine based on imbalances . The indicator automatically finds bullish and bearish Fair Value Gaps, paints them on the chart as colored rectangles and calculates the percentage of volume domination of buyers over sellers (or vice versa) inside the breakout candle that created the imbalance. On top of that, it builds a trend of imbalance
Description Range Detector   is an indicator that identifies ranges in the market and displays their presence on the price chart. Recommendations You can use this indicator to determine the flet and, accordingly, to determine the direction of opening a position or closing an opposite position. Parameters Maximum History Bars   - maximum number of history bars for calculating the indicator. Average True Range Period   - ATR indicator period (used to calculate the difference between moving a
Impulse Angle
Denys Babiak
4 (3)
Description Range Detector   is an indicator that identifies impulses in the market and displays their slope angles on the chart. Recommendations You can use this indicator to determine a trend and, accordingly, to determine the direction of opening a position or closing an opposite position. Parameters ===== _INDICATOR_SETTINGS_ =====   - indicator settings Maximum History Bars   - maximum number of history bars for calculating the indicator. Average True Range Period   - ATR indicator p
SuperCCI
Denys Babiak
Description SuperCCI is an indicator based on the standard CCI indicator. It identifies and displays convergences/divergences in the market and forms the corresponding entry points. Also, using the trading channel index, it determines the direction of the trend and displays the levels of support and resistance . Features Not repaint. Shows entry points. Shows the direction of the current trend and support/resistance levels. Has notifications. Recommendations Use convergence/divergence to ide
Volume Magic
Denys Babiak
3.67 (3)
Description Volume Magic is an indicator that shows the value of the relative volume in conjunction with the direction of the current trend. The ratio of the current volume relative to the average volume for a certain period is displayed in the lower window as an oscillator. The direction of the current trend is displayed as two-color trend lines. How to use? First, use two-color trend lines to determine the direction of the current trend. Then look for areas of low volume and open positions
Money Zones
Denys Babiak
Description Money Zones is an indicator that determines accumulation/distribution zones in the market. Green zones make it possible to look for buy entry points or sell exit points. Red zones, on the contrary, define the opportunity for selling or closing buys. The indicator has the ability to define money zones for two timeframes simultaneously on the same chart. How to use? Use this indicator to identify market zones as support/resistance zones to determine the best conditions for market e
Description Bitcoin Manager is the best indicator for trading Bitcoin cryptocurrency. It is calculated based on the price deviation from the moving average line channel. Ascending and descending arrows indicate potential points and levels for opening buy and sell positions. How to use? We strongly recommend using this indicator on the H1 timeframe. An up arrow indicates a buy level. Down Arrow - Sell Level. Parameters Maximum History Bars - maximum count of history bars to calculate. _GRAP
Description The Quantum Awesome Oscillator indicator is based on the standard Bill Williams Awesome Oscillator (AO) indicator. It has two parts. The lower part is a colored histogram of the oscillator (divided into two sides - above zero and below zero and, accordingly, colored in two colors - blue for buying and red for selling) and a trend curve line (shows the direction of the global trend). The upper part - arrows showing market entry points, as well as dashed lines showing Stop-Loss and Ta
Description The Quantum Awesome Oscillator Pro indicator is based on the standard Bill Williams Awesome Oscillator (AO) indicator. It has two parts. The lower part is a colored histogram of the oscillator (divided into two sides - above zero and below zero and, accordingly, colored in two colors - blue for buying and red for selling) and a trend curve line (shows the direction of the global trend). The upper part - arrows showing market entry points, as well as dashed lines showing Stop-Loss an
Description Trend Influencer is an indicator that determines the potential dynamics of the influence of trend wave movements on the market. The indicator is based on the value of moving averages corrected by the standard deviation. The indicator is displayed as a main dash-dotted moving average and a signal solid moving average. The signal moving average is colored blue or red depending on what type of trend is currently observed in the market. The indicator also draws inhibition levels - blue a
Let us introduce you to a new era of neural indicators for financial markets! Intelligent Moving is a unique indicator that trains its neural network in real time! You no longer need to look for the optimal indicator parameters for each specific situation. No more late signals. The artificial intelligence is able to adapt itself and predict any market movements. Visually, the indicator is drawn as a main solid moving average line, two dotted lines of standard deviations and signal arrows. For
Volume Horizon is a horizontal volume indicator that allows you to observe the density of market participants' volumes across various price and time intervals. Volume histograms can be constructed based on ascending or descending market waves, as well as individual bars. This tool enables more precise determination of entry or exit points, relying on levels of maximum volumes or volume-weighted average prices (VWAP). What makes Volume Horizon unique? 1. Segmentation into ascending and descendi
Fractal Bot Gold is a trading bot that utilizes breakout and rebound strategies from fractal levels to determine effective entry points for positions, as well as to set safe stop-losses and take-profits. Combined with the Average True Range (ATR) indicator and precise adaptation to market conditions, it minimizes the impact of market noise and volatility, providing reliable risk management and optimizing profits. The bot’s parameters are carefully optimized and adapted for trading the Gold (XAU
One Good Trade is a simple and effective Forex trading bot that implements the "time determines price" strategy. Its main feature is just one trade per day, executed at the optimal time and in the direction of the current trend. This straightforward approach allows you to take full advantage of favorable market conditions while minimizing risks. Additionally, the bot adjusts to market volatility, ensuring that stop-loss and take-profit levels are set appropriately for current market conditions.
Real Spread Monitor Real Spread Monitor  is a professional MetaTrader indicator designed to record, visualize, and analyze the actual spread values received from a broker in real time. Instead of showing only the current spread, it collects every incoming tick and converts the data into historical spread candles. The indicator helps traders study how spreads change over time, identify recurring spread expansions, compare trading conditions across brokers or account types, and evaluate whether
Position Accelerator is an innovative solution for traders that helps maximize profits by capitalizing on trending market movements. The utility automatically increases the size of your trading positions once they reach a predefined profit level, significantly enhancing your profitability. This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/126702 How does Position Accelerator work? 1. Acceleration through additional positions: When your open position reac
The ABC Indicator analyzes the market through waves, impulses, and trends, helping identify key reversal and trend-change points. It automatically detects waves A, B, and C, along with stop-loss and take-profit levels. A reliable tool to enhance the accuracy and efficiency of your trading. This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/128178 Key Features of the Indicator: 1. Wave and Trend Identification:    - Automatic detection of waves based on mov
ZLMA Trend Candles indicator uses an enhanced Zero-Lag Moving Average to highlight key trend shifts, repainting candles in real time. It reacts faster than traditional moving averages, helping you spot potential market turns earlier. Gain clear entry and exit signals and filter out market noise with ease! This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/129278 1. What Is ZLMA Trend Candles? ZLMA Trend Candles is a MetaTrader 4/5 indicator based on the Z
Fibo Extrema Bands is a unique indicator that visually demonstrates when the market shifts into a trend and highlights key levels acting as support or resistance. It combines easy-to-read “stepped” extrema lines with Fibonacci levels (whose values can be adjusted in the indicator’s inputs), simplifying the search for entry and exit points. Install Fibo Extrema Bands to gain a powerful tool for trend analysis and for identifying critical price levels! This product is also available for MetaTrade
Trend Risk Analyzer intelligently identifies trends, impulses, and corrections, calculating optimal trade volumes and safe levels for stop-loss and take-profit. Increase your accuracy, reduce risks, and boost your trading profits! This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/134799 The key feature of Trend Risk Analyzer is its capability to calculate the average range of each market element, enabling traders to set justified stop-loss and take-profi
Double Fractal Entry generates precise entry signals based on smart fractal breakouts or rebounds. It visualizes market structure with dynamic channels and plots clear SL/TP levels. A powerful tool for trend and reversal traders. This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/143601 The indicator generates entry points based on two configurable strategies: Fractal Breakout – when price breaks the last key fractal; Fractal Rebound – when price bounces
Double Fractal Entry Bot trades automatically using fractal breakouts or rebounds. It detects precise entry points, places SL and TP based on market structure, and includes logic to manage risk and avoid false signals. Simple, smart, and powerful. This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/143608 Double Fractal Entry Bot is an intelligent trading robot based on the proven logic of the Double Fractal Entry indicator. It analyzes price using upper a
Intelligent Moving Bot — Adaptive EA with Neural Optimization Intelligent Moving Bot is a fully autonomous EA built on the Intelligent Moving indicator. It uses a dynamic MA, ATR-based deviation bands, and virtual trades with a perceptron to optimize parameters on the fly — with no repainting and no manual curve-fitting. This product is also available for MetaTrader 5 =>  https://www.mql5.com/en/market/product/148151 Intelligent Moving indicator is available here =>  https://www.mql5.com/en/
Order Block Trend Flow is a professional trading indicator designed to identify high-quality order blocks and transform them into a complete analytical framework including entry signals, zone validation, and trend detection. Why Traders Use This Eliminates low-quality order blocks and highlights only meaningful zones Combines structure, volume, and volatility into one decision framework Provides clear entry points instead of leaving interpretation to the trader Helps understand why
Imbalance Volume Trend Bot Imbalance Volume Trend Bot is an Expert Advisor based on the logic of Fair Value Gap imbalances, volume dominance and imbalance trend structure. The bot searches for bullish and bearish imbalance formations on the chart and can automatically open trades according to the selected trading logic. It is designed for traders who want to automate imbalance-based trading instead of manually analyzing every Fair Value Gap zone. The main idea of the EA is not only to detect
Pair Quant Arbitrage is a statistical pair-trading indicator for MetaTrader 4 designed to identify temporary relative imbalances between two financial instruments. Instead of trying to predict the direction of one market in isolation, the indicator analyzes two instruments as a connected system. It evaluates the quality of their current relationship, measures their relative displacement, determines the potential direction of both pair legs, and displays a model-implied equilibrium reference dire
Description Range Detector   is an indicator that identifies ranges in the market and displays their presence on the price chart. Recommendations You can use this indicator to determine the flet and, accordingly, to determine the direction of opening a position or closing an opposite position. Parameters Maximum History Bars   - maximum number of history bars for calculating the indicator. Average True Range Period   - ATR indicator period (used to calculate the difference between moving a
Description Range Detector is an indicator that identifies impulses in the market and displays their slope angles on the chart. Recommendations You can use this indicator to determine a trend and, accordingly, to determine the direction of opening a position or closing an opposite position. Parameters ===== _INDICATOR_SETTINGS_ ===== - indicator settings Maximum History Bars - maximum number of history bars for calculating the indicator. Average True Range Period - ATR indicator period (us
SuperCCI MT5
Denys Babiak
Description SuperCCI is an indicator based on the standard CCI indicator. It identifies and displays convergences/divergences in the market and forms the corresponding entry points. Also, using the trading channel index, it determines the direction of the trend and displays the levels of support and resistance . Features Not repaint. Shows entry points. Shows the direction of the current trend and support/resistance levels. Has notifications. Recommendations Use convergence/divergence to ide
Description Volume Magic is an indicator that shows the value of the relative volume in conjunction with the direction of the current trend. The ratio of the current volume relative to the average volume for a certain period is displayed in the lower window as an oscillator. The direction of the current trend is displayed as two-color trend lines. How to use? First, use two-color trend lines to determine the direction of the current trend. Then look for areas of low volume and open positions
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