MR Range Breakouts 5

5
The "MR Range Breakouts 5" indicator was created from scratch by us according to the author's methodology. It is based on the concept of "Auction Market Theory" developed by Richard D. Wyckoff (J. Peter Steidlmayer) and the "Locked-in Range Analysis" market analysis method developed by Tom Leksey. Both concepts largely overlap with our understanding of the processes in the "Range" and show how market participants interact. Since there is no established terminology for ranges in "Classical Theory" we will use our own terminology!

To give you some idea, we will briefly introduce the processes that take place in the range:
1. When we have two extremes and the price has tested at least 75% of the distance between them in the form of a corrective movement, we say that a “Balance” has been established between buyers and sellers. Usually, the intentions to achieve a "Balance" of prices are known only by the "Big" players in the markets. If the price continues or makes a new impulse, renews one of the extremes, and does not return to them again in the form of a correction, we say that the "Balance" is broken and we now have an "Imbalance".
2. If, after reaching a "Balance" between buyers and sellers, the price continues to move between two price extremes, we say that a "Range" has developed between the two price extremes. Here, along with the "Big" market players, the "Professional" traders also enter positions.
3. When the prices remain in the "Range" for a longer time, this "Range" is also seen (perceived) by the "Non-professional" market participants. Usually their stop-losses are placed above or below the boundaries of the "Range". This is where we say we have an "Open Range" because all market participants can actively enter positions and trade the distance between the two extremes that define the upper and lower boundaries of the "Range". 
4. When enough participants accumulate in the "Range" with their stop-losses, some of the "Big" players try to close the "Range" of prices by exiting it at the expense of these stop-losses. If they succeed and there is a "correction" beyond the "Range", we say that the "Open Range" is locked by these "Big" players and we have a "Range of Buyers" or a "Range of Sellers".
5. If another portion of the "Big" players decide they don't like it and returns the price to the "Range" and tests a minimum of 75% of the distance between the two extremes that define the boundaries of the "Range", then we say we have an "Extension" of the boundaries of the "Open Range". In this case, the distance between the upper and lower boundaries of the "Open Range" is updated, and a new range test distance of 75% is determined.
6. If these “Big” players fail to return the price to at least 75% after exiting the range, then we say that there is a struggle for dominance between different groups of "Big" players. This usually happens at the upper or lower boundaries of the "Open Range" and between the bearish or bullish "limit orders" barriers. Then we say that we have an "Expansion" of sellers or an "Expansion" of buyers.
7. According to our experience with the indicator, the best places to enter a position are in the "limit orders" barrier areas in the direction of the trend. For example, if we have a downtrend, we are looking for a sell entry in the "limit orders" barrier area of sellers, and accordingly, if we have an uptrend, we are looking for a buy entry in the "limit orders" barrier area of buyers. Of course, all our decisions must be confirmed by other indicators in these zones.

What the indicator shows:
  • "Red" rectangles show "Ranges of Sellers", where buyers remain in a "Locked-in Range", and sellers win. If you place a volume profile in a "Range of Sellers", in the area below the "POC" volume, there are buyers in a "Locked-in Range".
  • "Blue" rectangles show "Ranges of Buyers", where sellers remain in a "Locked-in Range", and buyers win. If you place a volume profile in a "Range of Buyers", in the area above the "POC" volume there are sellers in a "Locked-in Range".
  • "Dashed" rectangles show closed "Ranges"—the places where the price absorbed the volumes in the ranges.
  • "Yellow" lines show the upper and lower boundaries of the "Open Range"—it is not yet determined whether this will be a range of buyers or sellers. The "Open Range" is a new and not yet finished range. In it, positions are recruited for the "Big" players, there is a struggle for initiative between the "Big" players, and various tools are used in the confrontation between them. Unfortunately, this is also the place where "non-professional" market participants lose their money because they don't understand the processes that go on in the range.
  • "Blue (dash-dot-dot line)" rectangle indicates the beginning of the buyers' "Expansion" initiative. It shows the struggle between the "Big" players in the market, the potential expansion of the "Open Range" boundary, or the possible formation of a new "Open Range".
  • "Red (dash-dot-dot line)" rectangle indicates the beginning of the sellers' "Expansion" initiative. It shows the struggle between the "Big" players in the market, the potential expansion of the "Open Range" boundary, or the possible formation of a new "Open Range".
  • "Red" lines above the "Open Range" indicate possible areas of "limit orders" barriers of sellers.
  • "Blue" lines below the "Open Range" indicate possible areas of "limit orders" barriers of buyers.
"Barriers of "limit orders" are structures designed to restrict price movement in any direction by constantly placing limit orders against the movement. They are typically observed above and below accumulation (range, balance). Barriers of "limit orders" are very similar in functionality to Iceberg orders, which can be tracked on other trading platforms. Instead of the price breaking through a level, the volume of limit orders at that price level "renews" again and again. The "Time & Sales" tape shows a flurry of aggressive trades, but the price stays in place. This is a signal of strong passive interest. The price will not move until the entire hidden volume is executed or canceled. For the market, this represents a powerful barrier. Often after this, the price makes a sharp impulse, as the resistance has disappeared."

        • In combination with the "MR Reversal Patterns 5" indicator, you can see how buyers and sellers are distributed in the "Range". Since every trader waits for confirmation that their market entry is correct, the appearance of "Reversal Patterns" in the "Range" forms the accumulation of open positions in a place that we define as a "Point of Control" in the Volume Profile of the Range ". During the movement of the price in a trend, you can see how "Balances" are formed according to the "Auction Market Theory".
        • In combination with the "MR Volume POC Levels 5" indicator, you can see where important volumes are left after the exit from the "Balances" and "Ranges". In addition, you can see how the volumes are absorbed in the "Range" and accumulate positions of buyers and sellers.
          • In combination with the "MR Volume Profile 5" indicator, you can see where the places with the highest concentration of open positions are. In the "Range of Sellers", buyers remain in the "Locked-in Range"—in the area below the "POC" volume, while in the "Range of Buyers", sellers remain in the "Locked-in Range"—in the area above the "POC" volume.
          • In combination with the "Volumes and Sentiments 5" indicator, you can see the "Sentiments" inside the range. When we also have an "Expansion" of the sellers or the buyers, you can see the imbalance of all participants in the range relative to those in the "Expansion".
          • In combination with the "Pullbacks on Trend 5" indicator, you can track the places where the volumes accumulate in the "Balances" and "Ranges" along the trend. Then, the volumes of these places are absorbed in the "Correction" movements.

          Note:
          There may be slight differences between the figures that are drawn on the chart of the time frame that you selected in the indicator settings and the figures that are drawn on the chart of the smaller time frames. This is related to the decomposition of the bar from the selected time frame to the smaller time frames. The bar of the selected time frame has a different structure than the smaller time frames. This is not a mistake! This is the option we have adopted to correctly determine the inputs and outputs of the ranges.

          If you liked the indicator, please support our work by giving it 5 stars!

          For MetaTrader 4 https://www.mql5.com/en/market/product/63855


          Indicator settings:

          Show Multi-Time Frame from: - Multi-time frame on which to calculate the indicator. By default, the indicator works with data from the H4 time frame.
          Bars History for calculation: - Number of bars on which the indicator works from the H4 multi-time frame.

          Section Visual Trading Styles settings
          Style 1: Delete inactive "Ranges" - Shows or deletes "Ranges" closed by the price and shown with a dashed line.
          Style 2: Show "Open Range" only - Shows only "Open Range" when this option is selected.
          Style 3: Show "Internal proportions" - Shows or hides "Internal proportions" in the "Open Range".
          Style 4: Show "limit orders" Barriers - Shows or hides "limit orders" Barriers.

          Section Alert settings for "Ranges"
          Alert when "Range" is closed: - Displays an alert when a "Range" is closed by the price movement and is shown with a dashed line.

          Section Settings for "Ranges"
          Line width for "Ranges": - You can select the line width for all non-closed Ranges.
          Color for "Range of Sellers": - You can select a color for "Range of Sellers".
          Color for "Range of Buyers": - You can select a color for "Range of Buyers".
          Color for "Open Range": - You can select a color for "Open Range".
          "Open Range" confirmation percentage: - You can choose another setting to fulfill the "Range" formation criterion. By default, we set the test distance between two extremums equal to 75%. Other acceptable values are up to 50%.

          Section Settings for "Limit Orders" (LO) Barriers
          Line width for (LO) "Barriers" 1 & 3: - You can select the line width for "limit orders" Barriers 1 and 3. According to our research, these lines are less important for containing the price movement.
          Line width for (LO) "Barriers" 2 & 4: - You can select the line width for "limit orders" Barriers 2 and 4. According to our research, these lines are more important for containing the price movement.
          Color for (LO) "Barriers" of Sellers: - You can select a color for "limit orders" Barriers of Sellers.
          Color for (LO) "Barriers" of Buyers: - You can select a color for "limit orders" Barriers of Buyers.

          Section Settings for "Expansion"
          "Expansion" line drawing style: - You can select the line style for "Expansion".
          "Expansion" line width: - You can select the line width for "Expansion".
          Color for "Expansion" of Buyers: - You can select a color for "Expansion" of Buyers.
          Color for "Expansion" of Sellers: - You can select a color for "Expansion" of Sellers.

            评分 2
            Jason Matthew Scott
            276
            Jason Matthew Scott 2022.07.27 01:02 

            Masters of Risk indicators (all 4 in the series) is a serious product for serious traders. MR Reversals are not a quick fix; however, I believe the trading style will work well for any trader willing to put in the work to learn the process and theory behind the indicators and overall trading strategy. More importantly, the developers of the MR indicators stand by their product. Svetoslav has been helping me learn the MR trading strategy - which goes way above and beyond the indicators. We have exchanged nearly 50 emails over the past 30-60 days. I have purchased 25+ indicators to help me get a better handle on institutional-level trading volumes and price action, I believe the MR indicator series is the only product that has put all of the pieces together in one system. As a trader you must still be committed to learning and applying yourself further every day, no tool/indicator will do your job for you. If you want long-term success as a trader - in almost any market - I believe the MR strategy can fill the gaps and provide the solutions for continued success. THANK YOU SVETOSLAV!!

            Enot_B
            46
            Enot_B 2021.11.01 20:12 

            Отличный индикатор!

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            MERAVITH 是一款适用于 MetaTrader 5 的多周期成交量与流动性指标,它在每一个时间周期上显示趋势、支撑与阻力区域、入场、目标和止损。它为您提供完整的市场流动性地图,一个对冲基金风格的流动性工具,并用专有的成交量加权平均价格方法自动完成全部计算,因此没有主观解读。 适用于外汇、黄金(XAUUSD)、指数和加密货币,适用于所有时间周期。 购买后赠送:一套关于如何用 MERAVITH 交易的视频课程。购买后请给我发消息。 MERAVITH 的功能 分析所有时间周期,并显示每个周期上正在生效的趋势。 标记流动性区域(Volume Equilibrium),即多头与空头成交量相等的位置。 将所有时间周期的流动性水平直接显示在您的图表上。 写出市场的文字分析供您参考。 根据当前趋势计算入场、目标、支撑位和止损。 计算您交易的风险回报比。 按您的账户余额计算仓位大小,并估算潜在利润。 在市场出现重要变化时提醒您:警报、电子邮件和推送到手机的通知。 主要线条 Bullish / Bearish Volume Exhaustion 线:目标位。 趋势线:随趋势改变颜色(多头或空头),显
            Volatility Master for MetaTrader is a real-time dashboard tool that scans up to  50 symbols  to identify high-volatility , trending markets instantly. With bullish/bearish signals, customizable alerts, and a user-friendly interface, it helps you avoid range-bound conditions and focus on high-probability trades. Clarity leads to confidence. Trade confidently and protect your capital effectively with this powerful dashboard. We don't offer free or bonus indicators in exchange of reviews from you.
            Azimuth Pro
            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
            IQ FX Gann Levels a precision trading indicator based on W.D. Gann’s square root methods . It plots real-time, non-repainting support and resistance levels to help traders confidently spot intraday and scalping opportunities with high accuracy. William Delbert Gann (W.D. Gann) was an exceptional market analyst, whose trading technique was based on a complex blend of mathematics, geometry, astrology, and ancient mathematics which proved to be extremely accurate. We don't offer free or bonus indic
            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.
            First time on MetaTrader, introducing IQ Star Lines, an original Vedic Astrology Based Intraday Trading Indicator. We don't offer free or bonus indicators in exchange of reviews from you. You won't need any free products with this indicator to make it work. ;) Enjoy! Welcome to the new and updated  IQ Star Lines , the ultimate fusion of ancient planetary cycles and modern quantitative trading, published for the first time on Metatrader. This is an indicator built by the developer, who has spent
            Gem SIGNAL
            Shengzu Zhong
            5 (1)
            GEM Signal Pro GEM Signal Pro 是一款適用於 MetaTrader 5 的趨勢跟隨指標,專為希望在圖表上獲得更清晰訊號、更有結構的交易設定,以及更實用風險管理的交易者而設計。 它不僅僅顯示一個簡單的箭頭,GEM Signal Pro 還能以更清晰、更易讀的方式呈現完整的交易思路。當條件確認完成後,指標可在圖表上顯示進場價、止損價與止盈目標,幫助交易者更有效率地評估交易設定。 運作方式 該指標首先根據其內部邏輯識別有效的初始訊號。 當確認條件滿足後,GEM Signal Pro 會在圖表上顯示完整的交易設定。這讓交易者可以更清楚地看到交易結構,並減少手動分析與計算的工作量。 圖表上的交易價位 對於已確認的訊號,GEM Signal Pro 可顯示: 進場價 止損價 止盈 1 止盈 2 止盈 3 風險報酬比 這讓交易設定更容易理解,也有助於讓圖表分析更有條理。 內建風險管理 風險管理是此指標設計的重要部分。 止損位基於近期市場結構,結合附近的擺動高低點與可選的 ATR 緩衝距離。這能讓交易價位更貼近當前市場條件,而不只是依賴固定距離。 圖表資訊面板 GEM Si
            ORB Seeker MT5
            Marcela Goncalves De Oliveira
            特价促销,限量供应,保持产品稀缺性! 仅售 599 美元! 购买后请联系我以获取奖励的 ORB Seeker EA 和个人优化设置文件。 自信地捕捉干净利落的比赛片段! ORB Seeker MT5 是一款专业的开盘区间突破 (ORB) 指标,专为追求准确性、简洁性、灵活性和清晰图表结构的交易者而设计。 它能自动绘制任何交易品种的盘前或自定义交易时段区间,然后给出清晰的突破信号,包括入场点、止损点、止盈点以及可选的50%部分止盈位。所有数据均实时计算并直接显示在图表上。 您可以选择交易伦敦开盘、纽约交易时段、亚洲交易时段,或者自定义交易时段。ORB Seeker MT5 会自动适应您选择的交易时段,让您精准掌握市场波动范围、突破位和交易位。 每次购买均免费赠送 ORB Seeker EA 智能交易系统。该 EA 系统读取指标的突破信号并可自动下单,您可以选择手动交易,也可以让 EA 系统根据指标的信号逻辑自动处理入场。   为什么选择 ORB Seeker MT5 支持多个交易时段 - 您可以自行设置伦敦、纽约、亚洲或自定义交易时段的盘前交易时间和交易时段。 完整的突破视觉效果 -
            Volume Profile Multiple — 多区块成交量分布指标,带缓冲区数据接口,支持算法交易 还在为每次切换周期都要重新绘制、重新计算成交量分布图而烦恼吗? Volume Profile Multiple 可在图表上自动绘制多个连续的成交量分布区块,揭示机构资金在市场各个阶段的真实活动区域——而不仅仅局限于最近可见的价格区间。 功能说明 该指标将历史价格按每 N 根K线划分为若干区块(区块数量和每区块的K线数量均可自定义),并为每个区块计算完整的成交量分布数据:控制点(POC)、价值区上下沿(VAH/VAL),以及高成交量节点和低成交量节点(HVN/LVN)。最终呈现的是一幅逐区块的市场结构可视化地图,便于识别基于真实成交量的筹码集中区、支撑阻力位,以及价格在不同价值区之间的轮动情况。 同样为算法交易而设计 与大多数成交量分布指标不同,本指标不仅提供可视化功能:它还输出 3个数据缓冲区 (最新区块的 POC、VAH、VAL),完全兼容 StrategyQuant X 以及任何 MQL5 智能交易系统(EA)。这意味着您可以直接基于这些关键价位构建交易策略,无需重新编写成交量
            KenKem Master Volume Profiler - Brief Introduction A Display-only volume-profile cockpit for XAUUSD, BTCUSD and other liquid symbols. Draws profile structure, multi-timeframe flow, EMA trend and study-only setup markers. Places no orders. Not a signal service.  It maps where the market has actually traded and reads recent order flow, so you can see structure and lean at a glance.  What it shows: Master and local volume profiles (POC and value-area high/low) - the price shelves that matter. A liv
            Presenting one-of-a-kind Gann Indicator for XAUUSD IQ Gold Gann Levels is a non-repainting, precision tool designed exclusively for XAUUSD intraday trading. It uses W.D. Gann’s square root method to plot real-time support and resistance levels, helping traders spot high-probability entries with confidence and clarity. William Delbert Gann (W.D. Gann) was an exceptional market analyst whose trading technique was based on a complex blend of mathematics, geometry, astrology, and ancient calculation
            Navigator Equilibrium:在一个窗口中同时呈现市场阶段、动量、峰值与背离 不必再在动量震荡指标、趋势过滤器、波动率指标和背离扫描工具之间来回切换。Navigator Equilibrium 将它们整合到一个彩色编码的窗口中,让您一眼看出动量是在增强还是减弱、哪一方占主导、市场处于趋势还是盘整,以及价格与动量在哪里出现分歧。 它既适合希望清晰解读市场的主观交易者,也适合需要干净、有文档说明的缓冲区的 EA 开发者。 与众不同之处 五种状态的柱状图,而不仅仅是多或空。 除了方向之外,颜色还显示动量是在增强、在减弱,还是已经处于峰值状态。 零轴兼具市场状态指示器的作用。 它会变色,告诉您市场处于趋势还是盘整。 一眼看清“谁在主导”。 柱状图顶部的标记线会相对于慢速均线变色,同时提示何时可以考虑逆势交易。 峰值跟踪。 每个柱状图峰值都会与同侧的上一个峰值比较,让您看出动量是在扩张还是收缩。 自动识别四种背离: 常规与隐藏、看涨与看跌。它们以箭头绘制,并可附带文字;滚动或缩放图表时,文字与箭头之间始终保持固定的像素间距。 可切换的计算模式 ,包括柱状图、盘整检测和峰值检测,便于
            一句话理解 这是一个 二合一的智能指示器 ——把 RSI 和 MACD 两位“专家”的意见打包成一个简单的结论:出现箭头,就行动;没有箭头,就等待。 而且箭头 不会重绘 ,收盘后是什么样,永远就是什么样。 它解决了什么问题 很多交易者同时看 RSI(判断动量和超买超卖)和 MACD(判断趋势方向),但两者经常给出矛盾信号。 这个指示器的做法是: 只有两人同时同意 ,才发出信号。这就过滤掉了大量假信号和模糊时段。 你实际看到的东西 独立的指示器窗口(不遮住 K 线图) 清晰的 买入箭头 和 卖出箭头 放大版的 MACD 柱状图(更容易看清动量变化) RSI 和 MACD 的线依然在,但你的注意力只需放在箭头上 谁适合用 新手 :不用学两个指标如何配合,跟着箭头做即可 老手 :节省时间,快速过滤噪音,且不重绘的特性让回测结果可信 所有讨厌信号闪烁的人 为什么它不重绘 因为它的判断逻辑基于 完整收盘后的价格数据 。信号只有在满足条件的那一刻才会固定下来,之后不会因为后续 K 线的变化而修改之前的箭头。 这意味着你可以放心做回测,也能在实盘中信任你看到的每一个信号。 底层特点(不复杂地说) 它
            作者的更多信息
            MR Volume Profile 5
            Sergey Khramchenkov
            The "MR Volume Profile 5" indicator is a charting tool that displays trading volume at different price levels rather than time intervals. A key concept in volume profile is the point of control (POC)—the price level with the highest volume traded during the session or time range. While tools like VWAP or OBV provide volume trends, the "MR Volume Profile 5" indicator offers granular detail about where the most market activity occurs at specific price levels. This makes it a more precise tool for
            MR Dynamic POC 4
            Sergey Khramchenkov
            The most crucial price level in any "Volume Profile" is the "Point of Control" . It is the price level with the highest traded volume. And mainly, it is the level where the big guys start their positions, so it's an accumulation/distribution level for smart money. The idea for the indicator arose after the "MR Volume Profile 4" indicator was created. When creating the "MR Volume Profile 4" indicator, we spent a lot of time comparing the volumes with those from the volume profile in the  NinjaT
            FREE
            MR Dynamic POC 5
            Sergey Khramchenkov
            The most crucial price level in any "Volume Profile" is the "Point of Control" . It is the price level with the highest traded volume. And mainly, it is the level where the big guys start their positions, so it's an accumulation/distribution level for smart money. The idea for the indicator arose after the "MR Volume Profile 5" indicator was created. When creating the "MR Volume Profile 5" indicator, we spent a lot of time comparing the volumes with those from the volume profile in the  NinjaT
            FREE
            MR Volume POC Levels 4
            Sergey Khramchenkov
            5 (3)
            The most important price level in any "Volume profile" is the "Point of Control" . This is the price level with the highest trading volume. It is primarily the level where large players initiate their positions, making it the accumulation/distribution level for the "Smart money" . The idea of the indicator arose after the "MR Volume Profile 4" indicator was made. When creating the "MR Volume Profile 4" indicator, we spent a lot of time comparing the volumes with those from the volume profile in
            MR Reversal Patterns 4
            Sergey Khramchenkov
            5 (2)
            In the "Masters of Risk" trading system, one of the main concepts is related to places where markets change direction. In fact, this is a change in priority and a violation of the trend structure at the extremes of the market, where supposedly there are or would be stop-losses of "smart" participants who are outside the boundaries of the accumulation of volume. For this reason, we call them "Reversal Patterns" —places with a lot of weight for the start of a new and strong trend. The important ad
            MR Range Breakouts 4
            Sergey Khramchenkov
            5 (2)
            The "MR Range Breakouts 4" indicator was created from scratch by us according to the author's methodology. It is based on the concept of " Auction Market Theory " developed by Richard D. Wyckoff (J. Peter Steidlmayer) and the "Locked-in Range Analysis" market analysis method developed by Tom Leksey. Both concepts largely overlap with our understanding of the processes in the "Range" and show how market participants interact. Since there is no established terminology for ranges in "Classical Theo
            MR Volume Profile 4
            Sergey Khramchenkov
            The "MR Volume Profile 4" indicator is a charting tool that displays trading volume at different price levels rather than time intervals. A key concept in volume profile is the point of control (POC)—the price level with the highest volume traded during the session or time range. While tools like VWAP or OBV provide volume trends, the "MR Volume Profile 4" indicator offers granular detail about where the most market activity occurs at specific price levels. This makes it a more precise tool for
            MR Reversal Patterns 5
            Sergey Khramchenkov
            5 (2)
            In the "Masters of Risk" trading system, one of the main concepts is related to places where markets change direction. In fact, this is a change in priority and a violation of the trend structure at the extremes of the market, where supposedly there are or would be stop-losses of "smart" participants who are outside the boundaries of the accumulation of volume. For this reason, we call them "Reversal Patterns" —places with a lot of weight for the start of a new and strong trend. The important ad
            MR Volume POC Levels 5
            Sergey Khramchenkov
            The most important price level in any "Volume profile" is the "Point of Control" . This is the price level with the highest trading volume. It is primarily the level where large players initiate their positions, making it the accumulation/distribution level for the "Smart money" . The idea of the indicator arose after the "MR Volume Profile 5" indicator was made. When creating the "MR Volume Profile 5" indicator, we spent a lot of time comparing the volumes with those from the volume profile in
            筛选:
            Jason Matthew Scott
            276
            Jason Matthew Scott 2022.07.27 01:02 

            Masters of Risk indicators (all 4 in the series) is a serious product for serious traders. MR Reversals are not a quick fix; however, I believe the trading style will work well for any trader willing to put in the work to learn the process and theory behind the indicators and overall trading strategy. More importantly, the developers of the MR indicators stand by their product. Svetoslav has been helping me learn the MR trading strategy - which goes way above and beyond the indicators. We have exchanged nearly 50 emails over the past 30-60 days. I have purchased 25+ indicators to help me get a better handle on institutional-level trading volumes and price action, I believe the MR indicator series is the only product that has put all of the pieces together in one system. As a trader you must still be committed to learning and applying yourself further every day, no tool/indicator will do your job for you. If you want long-term success as a trader - in almost any market - I believe the MR strategy can fill the gaps and provide the solutions for continued success. THANK YOU SVETOSLAV!!

            Sergey Khramchenkov
            2621
            来自开发人员的回复 Sergey Khramchenkov 2022.07.28 12:22
            Thank you Jason,
            We try to help as much as we can.
            Enot_B
            46
            Enot_B 2021.11.01 20:12 

            Отличный индикатор!

            Sergey Khramchenkov
            2621
            来自开发人员的回复 Sergey Khramchenkov 2021.11.01 20:56
            Спасибо !!!
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