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MR Trend Corrections 5

We publish the indicator as a useful tool in trading and call this indicator the "Swiss Army Knife" because it provides many possibilities and combinations to help understand the material on the "Masters of Risk" trading system. The indicator itself is not part of the tools used in the "Masters of Risk" trading system.


The indicator consists of 3 separate multi-timeframe indicators, which in combination with each other help to reduce the "noise" of false signals.

  • The first of the indicators are three "Moving averages". In trend they work well, but unfortunately the same cannot be said when we are in Range.
  • The second of the indicators is a modified "Zig-Zag". We use 3 bars on the left, 3 bars on the right and one bar in the middle to define the fractal. The indicator itself gives a lagging signal, but is very good at identifying "Impulse" price movements.
  • The third of the indicators is a modified "Fibonacci Levels". The idea is simple - we divide the "Impulse" price movement into equal parts of 25% each. This is what works in markets.

The combination of the three indicators helps you not to be "Lost in the Trend"!!!

Now we will explain the "Corrections" made by the price movement. Since we have not found anything meaningful as an explanation in the books we have and on the internet, we will use our own terminology for this.

  • "Potential (1) +25%" and "Potential (2) +50%" corrections determine how far the movement along the trend is possible to continue. According to our observations, these are the levels most often reached by the price movement. Reaching these levels is a slow and difficult process. It is very possible that this has to do with the "limit barriers" that the "Big" players put up or the fixing of their positions. If we have weak and short "Impulses", we wait... A trend reversal is possible at these correction levels!!!
  • As "Base 0%" we use 0%, where the corrections start. The "Base 0%" is always at the end of the impulse price movement!!!
  • The "Short -25%" correction is the first level that the price corrects. This is a very interesting level of correction. From our experience, we have two findings about this: 1. This correction is tested in a "strong trend" and the next impulse of the price movement starts from it. The important thing is that there is no long-term holding of the price in the form of "Range". If there is no "Range", we call the level "Strong"!!! 2. If there is a "Range" we have the following finding.The battle between the "Big" players in the market has been going on for a long time and this has been seen by other market players. In such a case, the continuation is by testing the next correction of -50%. In that case, we call the -25% correction "Weak"!!!
  • In the "Normal -50%" level, there is nothing interesting. This is a "system" fix. Usually at this level there is some volume to be absorbed by the "Big" players in the market!!!
  • The most interesting is the next level of correction, which we have called "Deep -75%". This is a very interesting place. The essence of "Deep -75%" correction is as follows: A "big" player in the market holds an open position in the opposite direction of the price impulse (within the -100% correction). He has made interventions to reach his open position and to get out of it. However, other "Big" players saw this price movement and took action (more liquidity) to prevent it. In this case, we say that a "Big" player has remained in "Locked-in Range". The important thing to know is that in this level there is a battle between "Big" players and this level is very "Strong"!!!
  • The term "Iceberg -100%" is our suggestion, because that is how we liken this model in the markets. It can easily be called "Mountain" and "Abyss". The essence of this correction is that there a "Big" player managed to get out of his position. There are two continuation options after the price has tested the "Iceberg -100%" correction. The first option is for the "Big" player to be very strong and win the battle with the other participants. Then we have a correction of between -25% and -50% of the "Iceberg" momentum and then a continuation of the price movement in the direction of the position of the strong "Big" player. The second option is that the "Big" player has freed himself from his position and has entered the market in a position opposite to his own. By adding his position to the other "Big" players, he gives a new impulse to the price movement and follows a big impulse and a new "Iceberg" model, opposite to the first one. A mandatory condition for a test of the "Iceberg -100%" level is that the price stops at this level and makes a correction. The "Iceberg -100%" model consists of two impulses - the second impulse is the size of the first impulse!!!
  • The "Potential (1) -125%", "Potential (2) -150%" and "Potential (3) -175%" corrections determine how far the correction movement can continue. According to our observations, these are frequently reached levels of the corrective price movement. Reaching these levels is a fast and powerful process. This is related to the increased liquidity at the expense of the stop losses of other players, regrouping of the positions of the "Big" players or long-term operations of Central Banks.


The indicator has two main concepts of use.

  • Concept 1 - shows "Trends" and "Corrections" from a large time frame. By default, the indicator is set to work on this concept - three "Moving averages" from time frame D1 with periods of 21, 14 and 7 days, "Zig-zag" and "Correction levels" also from time frame D1.
  • Concept 2 - shows "Tendencies" and "Corrections" from a smaller time frame. For example, If we use the "D1" time frame for the "Trend", then for the tendencies we will have to set the "Moving averages" on the current time frame, and the "Zig-zag" and the "Correction levels" one time frame higher - three "Moving averages" from time frame H1 with periods of 24, 16 and 8 hours, "Zig-zag" and "Correction levels" from time frame H4.
  • The combination of the two concepts provides an opportunity to trade the "Impulses" of tendencies (three H1 "Moving averages" that move in the same direction without crossing over a relatively long period of time) in relation to trend (three D1  "Мoving averages" that move in the same direction without crossing over a relatively long period of time). This way, you can trade "Correction Levels" into "Correction Levels" from a higher time frame.


Since the "MR Trend Corrections" indicator is an auxiliary tool, we recommend using it in combination with our other indicators to confirm trend movement or its reversal.

The features of our indicator are as follows:

  • The indicator shows the "Impulse" movement of the price and their "Corrections". Which "Impulse" movements are important and which are not are determined according to the author's methodology.
  • It shows the distance between the "Correction Levels" in pips, which makes it easier to make decisions about whether to trade the distances between them.
  • The indicator can use each of the nested indicators on its own, allowing you to combine them to meet the many requirements of traders.
  • In combination with the "MR Reversal Patterns" indicator and its trading models, you can track how the price moves in the "Impulse" and where the price ends its corrections.
  • In combination with the "MR Range Breakouts" 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.
  • In combination with the "MR Volume POC Levels" indicator, you can track the places where volumes are absorbed and accumulated. You will notice that in the "Impulse" movements, the volumes participate in the entrainment of the price movement in the direction of the "Impulse", and in the "Corrections" new places arise with volumes that keep the price movement in the range.
  • Combined with the "MR Sentiments by volumes" indicator, you can track how long the imbalance between buyers and sellers is in favor of the "Impulsive" price movement and when there is a rearrangement between them at the beginning and at the end of "Corrections".


We also use other combinations to trade only the "Impulses" of tendencies in relation to trend.

    • For traders with a "Scalping" trading style, the following combinations are suitable:
    - If you are trading on the M1 time frame, we recommend using - 3 EMAs from time frame M15 (24,16,8) + 3 EMAs from time frame M1 (24,16,8), "Zig-zag" and "Correction levels" from time frame M5.
    - If you are trading on the M5 time frame, we recommend using - 3 EMAs from time frame Н1 (24,16,8) + 3 EMAs from time frame M5 (24,16,8), "Zig-zag" and "Correction levels" from time frame M15.
      • For traders who trade on time frames M15 - H1, the following combinations are suitable - 3 EMAs from time frame D1 (21,14,7) + 3 EMAs from time frame H1 (24,16,8), "Zig-zag" and "Correction levels" from time frame H4.
      • For traders who trade on time frame H4, the following combinations are suitable - 3 EMAs from time frame 1W + 3 EMAs from time frame H4 (21,14,7), "Zig-zag" and "Correction levels" from time frame D1.


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

      For MetaTrader 4 https://www.mql5.com/en/market/product/94053


      Indicator settings:

      Show Multi Time Frame MAs from: - Multi time frame on which to calculate the "Moving Averages". By default, the indicator works with data from time frame D1.
      Bars History for MAs calculation: - Number of bars on which the indicator works from multi time frame D1.
      Show Multi Time Frame Correction from: - Multi time frame on which to calculate the "Zig-Zag" and "Correction Levels". By default, the indicator works with data from time frame D1.
      Bars History for Correction calculation: - Number of bars on which the indicator works from multi time frame D1.

      Section "Visual Trading Styles Settings"
      Style 1: Show Moving Averages - Shows or not "Moving Averages".
      Style 2: Show Zig-Zag - Shows or not "Zig-Zag".
      Style 3: Show Correction Levels - Shows or not "Correction Levels".
      Style 4: Delete inactive Correction Levels - Shows or deletes inactive "Correction Levels". The shows of inactive corrections is for the purpose of researching the history of a financial instrument.
      Style 5: Show active Levels short Info text - Show an abbreviated form of information about "Correction Levels". If not, it shows an expanded form of the "Correction Levels" information.
      Style 6: Show Pips Info text - Shows or not Pips Info text.

      Section "Moving Averages Settings"
      In this section you can set the visual and technical details for "Moving Averages".

      Section "Zig-Zag Settings"
      In this section you can set the visual details for "Zig-Zag".

      Section "Correction Line Settings"
      In this section you can set the visual details for "Correction Line".

      Section "Correction Levels Text Settings"
      In this section you can set the visual and technical details for "Correction Levels Text".

      Section "Pips Info Text Settings"
      Use manual Pips calculation - Allows to choose between manual or automatic mode to calculate the Pips between two corrections. By default, automatic mode is on. We provide this option because different "Brokers" provide different forms of information about the same financial instrument. For example, one "Broker" provides information about the financial instrument "NAS100" with 1 decimal place, and another "Broker" with 2 decimal places. The manual Pips calculation form allows you to make the values for the pips shown in the indicator the same.
      Characters after the decimal point - In manual Pips calculation mode you can choose how many decimal places to calculate pips.

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        당신에게 소개하는 iVISTscalp5 지표는 독특하면서도 거래 작업에서 효과적입니다. 이 지표는 시간 데이터를 기반으로 하며 금융 시장의 많은 경험과 깊은 분석의 결과입니다. iVISTscalp5 지표는 수동 거래에 뛰어난 도구입니다. 편리성, 간단함 및 시각화 - 모든 복잡성은 숨겨져 있습니다. 우리는 iVISTscalp5 지표의 설정과 사용을 최대한 단순화했습니다. 이 지표는 MT5 터미널에서 가지고 있는 모든 금융 상품에 적합합니다. 시간 기준으로 작동하는 시간은 4am에서 8pm (UTC+3)입니다. iVISTscalp5 지표 메뉴 (스크린샷 1 참조): History - 표시할 주간 수 계산 dT_min - 시간 설정 간격 선택 (분) TFline - 수평 볼륨 생성 (타임프레임) BARSline - 수평 볼륨 생성 (바 수) TFtrend1 - 매일 채널 생성 (타임프레임) BARStrend1 - 매일 채널 생성 (바 수) TFtrend2 - 주간 채널 생성 (타임프레임
        Introduction to Fractal Pattern Scanner Fractal Indicator refers to the technical indicator that makes use of the fractal geometry found in the financial market. Fractal Pattern Scanner is the advanced Fractal Indicator that brings the latest trading technology after the extensive research and development work in the fractal geometry in the financial market. The most important feature in Fractal Pattern Scanner is the ability to measure the turning point probability as well as the trend probabil
        Native Channels
        BeeXXI Corporation
        5 (1)
        This indicator recognizes all support and resistance levels. A number of unique high-performance techniques have been applied, which made the existence of this indicator possible. All formed channels are naturally visible: horizontal linear linear parabolic cubic (Polynomial 3 degrees - Wave) This is due to a bundle of approximating channels. The formed channels form "standing waves" in a hierarchical sequence. Thus, all support and resistance levels are visible. All parameter management is
        The iChannels
        BeeXXI Corporation
        5 (2)
        Ultra-fast recognition of parabolic channels (as well as linear, horizontal and wavy channels) throughout the depth of history, creating a hierarchy of channels. Required setting: Max bars in chart: Unlimited This indicator is designed primarily for algorithmic trading, but can also be used for manual trading.  This indicator will have a very active evolution in the near future and detailed descriptions on how to apply to create robots
        The indicator is designed to close positions on the market in time. For example: to take profits ahead of schedule if the price has not reached TakeProfit, and the market is turning around. The indicator analyzes the momentum, not the trend. He does not give any information about the trend. The indicator is well suited for finding divergence. The Ershov 38 Parrots indicator dynamically adjusts to the market and detects price movement impulses of medium and high amplitude. It almost does not rea
        Go Way TREND
        Ywsf Hsyn Hmad Alrsh
        추세와 함께 가십시오. 네, 15분 프레임에 매수든 매도든 진입 신호를 기다리고, 30분 프레임에 신호가 나타나는지 확인하세요(때때로 신호가 나타나는 데 1시간 이상이 소요됩니다. 돌아올 수 있습니다) 15분 프레임으로 갔다가 30분 프레임으로 돌아가서 메인 시그널이 나타날 때까지 이를 반복합니다. 30분 프레임에 시그널이 나타나면 가격을 가지고 진입하여 선이 바뀔 때 수익을 얻습니다. , 이익이 기록되거나 반대 신호가 나타나는 경우 매우 간단하며 모든 주요 통화에서 작동합니다.  금속, 표시기, 모든 프레임이지만 가장 좋은 결과는 30분 프레임입니다. 항상 캔들 바닥 아래에 스톱로스를 설정하고 자본 관리를 초과해서는 안 됩니다. 자본금의 10% 추세와 함께 가십시오. 네, 15분 프레임에 매수든 매도든 진입 신호를 기다리고, 30분 프레임에 신호가 나타나는지 확인하세요(때때로 신호가 나타나는 데 1시간 이상이 소요됩니다. 돌아올 수 있습니다) 15분 프레임으로 갔다가 30분
        제작자의 제품 더 보기
        "Sentiments of traders" in the financial markets is a topic that has been of interest to us for a long time. In time, we could not find the right formula to define these sentiments. We went through many stages in the search for the right methodology - from taking data from external sources to calculate open positions of buyers and sellers to calculating tick volumes, but still we were not satisfied with the results. The calculation of open positions of buyers and sellers from external sources ha
        A "Volume Profile" is an advanced charting indicator that displays total volume traded at every price level over a user specified time period. The main components of the volume profile are POC ( Point Of Control - the price level, at which the maximum number of contracts were executed during a selected period), VAH ( Value Area High - the highest price in the Value Area) and VAL ( Value Area Low - the lowest price in the Value Area). When we settled on the original indicator, we spent a lot o
        A "Volume Profile" is an advanced charting indicator that displays total volume traded at every price level over a user specified time period. The main components of the volume profile are POC ( Point Of Control - the price level, at which the maximum number of contracts were executed during a selected period), VAH ( Value Area High - the highest price in the Value Area) and VAL ( Value Area Low - the lowest price in the Value Area). When we settled on the original indicator, we spent a lot o
        MR Volume POC Levels 4
        Sergey Khramchenkov
        5 (2)
        The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
        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. Some of the imp
        MR Range Breakouts 4
        Sergey Khramchenkov
        5 (1)
        " A trading range occurs when a financial instrument trades between constant high and low prices over a period of time. The upper part of the trading range of a financial instrument often provides price resistance, while the lower part of the trading range usually offers price support.  Traders can enter in the direction of a breakout or breakdown from a trading range... " This is the "Classical Theory" understanding of ranges. We have a different understanding of the nature of ranges and th
        MR Dynamic POC 4
        Sergey Khramchenkov
        The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
        MR Trend Corrections 4
        Sergey Khramchenkov
        We publish the indicator as a useful tool in trading and call this indicator the "Swiss Army Knife" because it provides many possibilities and combinations to help understand the material on the "Masters of Risk" trading system. The indicator itself is not part of the tools used in the "Masters of Risk" trading system. The indicator consists of 3 separate multi-timeframe indicators, which in combination with each other help to reduce the "noise" of false signals. The first of the indicators ar
        MR Reversal Patterns 5
        Sergey Khramchenkov
        5 (1)
        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. Some of the im
        MR Range Breakouts 5
        Sergey Khramchenkov
        5 (2)
        " A trading range occurs when a financial instrument trades between constant high and low prices over a period of time. The upper part of the trading range of a financial instrument often provides price resistance, while the lower part of the trading range usually offers price support.  Traders can enter in the direction of a breakout or breakdown from a trading range... " This is the "Classical Theory" understanding of ranges. We have a different understanding of the nature of ranges and th
        MR Volume POC Levels 5
        Sergey Khramchenkov
        The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
        MR Dynamic POC 5
        Sergey Khramchenkov
        The most crucial price level in any "Volume Profile" is the "Point of Control" . Is the price level with the highest traded volume. And mainly, is the level where the big guys start there their positions, so it's an accumulation/distribution level for smart money. The idea of the indicator arose after the "MR Volume Profile Rectangles" indicator was made. When creating the "MR Volume Profile Rectangles" indicator, we spent a lot of time comparing the volumes with those from the volume profil
        "Sentiments of traders" in the financial markets is a topic that has been of interest to us for a long time. In time, we could not find the right formula to define these sentiments. We went through many stages in the search for the right methodology - from taking data from external sources to calculate open positions of buyers and sellers to calculating tick volumes, but still we were not satisfied with the results. The calculation of open positions of buyers and sellers from external sources ha
        필터:
        리뷰 없음
        리뷰 답변
        버전 1.5 2023.03.15
        - Fixed some technical details.
        버전 1.4 2023.02.21
        - Improved the formula for determining the important "Impulses". With the new formula, we reduce even more "noise" from potentially false (bad) signals!!!