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SMART TRADING TOOLS FOR CRYPTO TRADERS
ACI DAILY: +2.39%
ACI TREND: WAIT
AVG VOL: 730,926
AVG ATR: 0.6369
ACI / M5: -0.05%
ACI / M15: +0.15%
ACI / H1: +2.00%
Iphone Bots

Explore the 158 algorithmic filters powering our trading bots

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PERFORMANCE

Asset Price
Crypto price at the moment the bot processes the asset. Serves as the baseline for all price deviation calculations.
Asset M5
Percentage change over the last 5 minutes. Detects execution speed.
Asset M15
Percentage change over the last 15 minutes. Detects execution speed.
Asset H1
Percentage change over the last hour. First indicator of short‑term strength. Ideal for spotting assets outperforming the market right now.
Asset D1
Percentage change since the opening of the daily candle (00:00 UTC). Defines the underlying directional bias. A positive D1 confirms long‑term bullish pressure.
Asset Trend
Algorithmic synthesis of the current trend (BULLISH / BEARISH / NEUTRAL). Summarizes multiple technical indicators to confirm whether the asset is trending or simply correcting.

MARKET TIMING

Day
Precise time‑based filtering using the day of the week (UTC).
Hour
Precise time‑based filtering using the opening hour (UTC).
Market Session
Identifies liquidity phases based on global banking cycles (UTC).
Market Region
Identifies the dominant geographical region (London, New York, Asia). The US session often brings volatility and breakouts, while Asia tends to build ranges.
Killer Zones
High‑liquidity zones where institutional algorithms (HFT) activate. Full Institutional: London/NY opens to trade with institutional algorithms. Power of Three: captures the trend established after the first hour of manipulation. Macro/News: ideal for capitulations and major directional BTC moves.
Market Snapshots - Asia
Analyzes the structure built during the night (02:00–06:00 UTC). Identifies whether Asia created a solid base (Range) or initiated a trend. Helps anticipate whether Europe will “hunt” the range boundaries or extend the move.
Market Snapshots - Europe
Analyzes the European morning structure (08:00–12:00 UTC). Determines whether the European flow is directional (Bullish/Bearish). Key filter to know if the US open will amplify the trend or trigger a major reversal.
Market Snapshots - USA
Analyzes the US session structure (14:00–22:00 UTC). Captures the real strength of market “heavyweights”. A breakout during the US session is often the most reliable signal for multi‑day continuation (Swing).

MARKET CONTEXT

BTC Dominance
Measures Bitcoin’s market cap share relative to the entire crypto market. A falling dominance often favors Altcoin expansion (“Altseason”).
Fear And Greed Index
Measures global psychological sentiment (0–100). Useful for anticipating reversals: extreme fear often provides buying opportunities, extreme euphoria calls for caution.
BTC Correlation M5
Measures immediate synchronization with Bitcoin. Ideal for scalping: positive M5 decoupling indicates an asset pushing even when BTC is flat.
BTC Correlation H1
Analyzes hourly correlation with Bitcoin. H1 decoupling often signals accumulation or distribution specific to the asset.
BTC Correlation H4
Evaluates long‑term correlation with Bitcoin (10 H4 candles). A “Decoupled” score reveals intrinsic strength independent of BTC.
CPG M5
Percentage of Altcoins rising over the last 5 minutes. A high score indicates sudden, broad buying pressure across the sector.
CPG M15
Percentage of Altcoins rising over the last 15 minutes. Confirms whether a micro‑impulse (M5) is turning into a stronger market move.
CPG H1
Overall Altcoin market health over the last hour. A CPG H1 > 70% signals strong “Risk‑On” buying pressure across the ecosystem.

EXECUTION & TIMING

Entry Time Window M5 (mn)
Defines the precise intervention window (in minutes) after a Scalping signal. Confirmation Filter: lets initial volatility settle. Invalidation Filter: after a certain delay (e.g., 5–8 min), the setup is considered invalid as momentum fades.
Entry Time Window H1 (mn)
Defines the execution window (in minutes) after an H1 candle closes. Minimum Delay: allows price stabilization or a retest after a breakout to avoid fakeouts. Maximum Delay: prevents entries when the move is already extended (chasing), protecting the Risk/Reward ratio.
Confirm Direction M1
[M5/M15/H1] Checks the direction of the last closed 1‑minute candle (M1). Prevents entering a scalp during a sudden “flash dump”.
Confirm Direction M15
[H1/H4/D1] Verifies the trend of the last closed 15‑minute candle (M15). Ensures short‑term momentum aligns with the higher‑timeframe thesis before entering.

INDICATORS

RSI
Measures speed and magnitude of price changes (0–100). Identifies overbought (>70) or oversold (<30) zones to anticipate exhaustion.
SMA Ratio
Ratio between SMA 50 and SMA 200. Identifies major market cycles. Basis of the “Golden Cross” (>1) or “Death Cross” (<1). A higher ratio confirms a mature trend.
EMA Ratio
Ratio between EMA 50 and EMA 200. Measures trend health. A score >1 means short‑term trend is above long‑term trend (bullish structure). A score near 1 signals potential bearish crossover.
MACD Ratio
Relative distance between MACD and its signal line. A ratio >1 confirms accelerating bullish momentum.
Price vs EMA50
Price position relative to the 50 EMA. Serves as a medium‑term trend pivot.
Price vs EMA200
Price position relative to the 200 EMA. The major boundary between bullish and bearish market regimes.
MA Structure
Analyzes alignment of multiple moving averages. A “fan‑out” structure confirms a strong, healthy trend.
VWAP Signal
Price position relative to VWAP. Indicates whether an entry is above or below the institutional “fair” price of the day.
MACD Cross
Detects precise MACD line crossovers. A Bullish Cross often triggers a new impulse.
MACD Strength
Measures divergence between MACD and its signal. Larger distance = stronger momentum.
VWAP / ATR Distance
Distance between price and VWAP normalized by ATR. High score indicates stretched price likely to revert.
EMA50 / ATR Distance
Distance between price and EMA50 in ATR units. Detects trend over‑extensions before technical corrections.
EMA200 / ATR Distance
Statistical deviation from long‑term average. Useful for spotting “Mean Reversion” points during parabolic moves.

CANDLES

Relative Candle Range
Measures total candle range relative to its open. High score indicates strong intent or market nervousness.
Candle Direction
Identifies immediate candle bias. 1 (Bullish) = close above open. 0 (Bearish) = sellers in control.
Upper Wick Ratio
Proportion of upper wick relative to total candle size. High ratio = strong selling pressure.
Lower Wick Ratio
Proportion of lower wick. High ratio = strong buying absorption.
Body Ratio
Body size relative to total candle range (0–100). Near 100 = strong directional flow. Near 0 = indecision (Doji).

VOLUME & FLOW

Volume
Total traded units during the candle. Volume is the fuel of price: moves without volume are often traps.
Log Volume
Natural logarithm applied to volume to smooth extreme spikes. Provides more stable readings during panic or euphoria.
Num Trades
Total number of individual trades. High trades with low volume = retail activity. High volume with few trades = whale activity.
Log Num Trades
Logarithmic smoothing of trade count. Useful for detecting steady increases in trader engagement.
Volume Up
Filters candles where volume significantly exceeds MA20. Identifies major interest spikes and valid breakouts.
Volume Down
Identifies exhaustion phases or lack of interest. Ideal for filtering false signals during consolidations.
Volume Buy Up
Detects strong capital inflow on a bullish close. Typical sign of institutional accumulation.
Volume Sell Up
Detects strong selling pressure on a bearish close. Indicates distribution or capitulation.
Participant Bias
Analyzes average trade size via Volume/Trades ratio to distinguish institutional flow (Smart Money) from retail fragmentation.

TRENDLINE

Trendline Trend
Identifies the orientation of the main trendline. Essential directional compass to avoid trading against the dominant flow.
Trendline Score
Trend strength index (0–100) normalized per timeframe. Higher = stronger trend. Higher timeframes increase reliability.

RANGE

Range Width (TF)
Raw distance between high and low over a sliding window (e.g., 24h on H1, 4h on M5). Defines the price envelope. Narrow ranges often precede explosive moves.
Range Width / ATR (TF)
Range width expressed in ATR multiples. Measures market “compression”. Low score = tight range relative to volatility.
Range Regime (TF)
Binary filter determining whether the asset is ranging (1) or trending (0). Based on statistical thresholds per timeframe.
Range Position Signal (TF)
Relative position of price within the TF range. 1 = lower zone (potential rebound), 0 = neutral zone, -1 = upper zone (potential rejection). Helps detect microstructure extremes.
Range Width (24H)
Raw difference between the high and low over the last 24 hours (UTC). Represents the actual market structure independent of timeframe. Serves as a universal reference for intraday volatility.
Range Width / ATR (24H)
Market compression or expansion over 24h, expressed in ATR multiples. Helps identify squeeze phases (low value) or potential breakouts (high value).
Range Regime (24H)
Global 24h regime detection. 1 = compressed / sideways market, 0 = expansion / active trend. Complements TF signals to reduce microstructure false signals.
Range Position Signal (24H)
Price position within the 24h range. 1 = lower zone of daily range, 0 = mid zone, -1 = upper zone. Used to identify key intraday liquidity zones.

DIVERGENCES

Regular RSI Divergence
Detects weakening momentum to anticipate imminent trend reversals. Price makes a new high/low but RSI does not follow.
Hidden RSI Divergence
Identifies “hidden” divergence confirming trend continuation. Ideal for Buy‑the‑Dip scenarios.
Regular RSI Div. (10mn)
Ultra‑reactive alert for classic divergence detected within the last 10 minutes. Prioritizes fresh signals on M5/M15.
Hidden RSI Div. (10mn)
Continuation alert detected within the last 10 minutes. Confirms renewed short‑term trend strength.

FIBONACCI

CHOCH
Detects the first structural reversal signal (break of protected high/low). Marks the end of the previous trend.
BOS
Confirms trend continuation via break of a higher high (bullish) or lower low (bearish).
BOS-FIBO Fast
Detects shallow retracement (0.382–0.500) after BOS. Aggressive trend‑flow strategy.
BOS-FIBO Slow
Detects equilibrium retracement (0.500–0.618) after BOS. Balanced strategy with better Risk/Reward.
CHOCH FIBO
Detects CHoCH followed by a Golden Pocket (0.618–0.786) retest. Precision “Sniper” setup.

LIQUIDITY

Sweep Low
Detects a wick sweeping below the last 5 lows before reclaiming. Indicates stop‑hunt on buyers.
Sweep High
Detects a wick sweeping above the last 5 highs before reclaiming. Indicates stop‑hunt on sellers.
Near HTF High
Identifies price within 0.5% of a major high (Daily/Weekly/Monthly).
Near HTF Low
Identifies price within 0.5% of a major low (Daily/Weekly/Monthly).

SMC

Proximity S/R
Evaluates distance to major horizontal support/resistance zones.
Proximity FIBO
Signals proximity to key Fibonacci retracement levels (e.g., 0.618).
Proximity FVG
Detects entry into an unfilled Fair Value Gap (liquidity void).
Proximity OB
Identifies proximity to institutional accumulation/distribution zones (Order Blocks).
Proximity Trendline
Measures distance to the active trendline (bullish or bearish).
Confluence HTF
[M5/H1] Validates tests of higher‑timeframe key levels.
Confluence LTF
[M5/H1] Detects lower‑timeframe reactions to refine entries (Sniper entry).
Anchor Zone
Binary filter confirming presence of at least one institutional anchor zone nearby.
Smart Money OB
Elite filter requiring an Order Block validated by BOS/CHOCH.

PATTERNS

Has Bullish Pattern
Detects at least one bullish candlestick signal within the last 3 candles.
Has Bearish Pattern
Detects at least one bearish candlestick signal within the last 3 candles.

PATTERNS BULLISH

Bullish Engulfing
Current candle fully engulfs previous bearish candle. Strong bullish reversal.
Hammer
Small body with long lower wick after a decline. Strong rejection of lower prices.
Bullish Doji Reversal
Doji followed by bullish confirmation. Marks exhaustion and reversal.
Morning Star
Three‑candle structure (Down / Indecision / Strong Up). Reliable bullish reversal.
Bullish Double Bottom
Double test of support (W‑Pattern). Strong base for bullish impulse.
Marubozu Bullish
Full bullish candle with no wicks. Strong buyer conviction.
Three White Soldiers
Three consecutive strong bullish candles. Confirms powerful trend.

PATTERNS BEARISH

Inverted Hammer
Small body with long upper wick at cycle bottom. Early sign of reversal.
Bearish Double Top
Double test of resistance (M‑Pattern). Major bearish reversal.
Head & Shoulders Bearish
Head‑and‑Shoulders structure marking trend exhaustion.
Bearish Engulfing
Current candle fully engulfs previous bullish candle. Strong selling pressure.
Evening Star
Three‑candle structure (Up / Indecision / Strong Down). Strong bearish reversal.
Shooting Star
Small body with long upper wick after an uptrend. Strong rejection.

DAILY BIAS

Daily Bias
Analyzes market structure (Highs/Lows) and trend on the Daily timeframe. Defines the “color” of the day: with a Bullish bias, every dip is a potential buy opportunity; with a Bearish bias, every bounce is a potential short opportunity.
Bias Score
Score from 0 to 6 based on confluence of several HTF signals (EMAs, RSI, Structure). Measures probability of success in the chosen direction: 5/6 indicates a very strong underlying trend, while 1/2 signals uncertainty or transition.

ALTCOINS INDEX

ACI M5
Ultra‑reactive index return over the last 5 minutes. Acts as a “Flash” alert: a sharp drop in ACI M5 often precedes a cascade of liquidations on alts.
ACI M15
Analyzes index variation over the last 15 minutes. Detects micro‑impulses in flow; ideal to validate scalp entries just before a broader push.
ACI H1
Measures index performance over the last rolling hour. Identifies short‑term accelerations or slowdowns that can impact open positions.
ACI D1
Computes the cumulative return of the Altcoins Index since the start of the day (00:00 UTC). Gives the overall market temperature: a positive score indicates a Risk‑On day across the sector.
ACI AVG ATR
Weighted sector volatility index (wATR). Measures market nervousness: a high value (> 0.8) signals a violent expansion phase (momentum), while a low value (< 0.2) indicates compression (squeeze), a precursor to an imminent directional move.
ACI AVG VOL
Represents the aggregate global transaction volume across all index components. It is the sector’s raw activity indicator: it quantifies the actual liquidity injected into or withdrawn from the Altcoin compartment in real time.
ACI Score
Synthetic global score (from -1 Bearish to +1 Bullish) of the AltCoins Index, aggregating multiple timeframes and indicators. Provides an instant reading of market strength: a high score (> 0) confirms a broad bullish flow, while a low score (< 0) signals structural weakening and an increased risk of correction.
ACI Trend
Algorithmic synthesis of the trend of the assets and indicators composing the index. Confirms whether global flow is healthy, in distribution, or in sideways accumulation.

ACI SCAN

ACI Risk On
[H1] Filter determining whether global capital is rotating into Altcoins (Risk-On) or moving into Cash/Stablecoins (Risk-Off). In Risk-On mode, long setups have maximum probability of success; in Risk-Off, the market is in survival mode.
ACI Momentum D1
[H1] Measures the speed of index price variation over a 24-hour window. A positive and rising momentum confirms that the daily trend is accelerating; a slowdown warns of a potential top.
ACI MACD
[H1] Applies the MACD indicator to the global Altcoins Index to detect flow crossovers. A bullish cross on ACI MACD is often a leading signal of a short-/mid-term Altseason.
ACI RSI
[H1] Indicates the tension level (overbought or oversold) of the entire Altcoin market. An ACI RSI > 70 suggests sector-wide overheating and a statistically likely global correction.
ACI Slope EMA50
[H1] Calculates the slope angle of the 50 EMA on the index. A strong upward slope validates a solid institutional trend; a flat slope indicates a directionless market.
ACI Distance EMA20
[H1] Measures the percentage distance between the current index price and its short-term moving average (EMA20). Excessive distance (overextension) signals that the market has “run too far” and a mean-reversion is likely.
ACI Volatility 24H
[H1] Analyzes trading intensity and price swings on the index over the last 24 hours. Exploding volatility in an uptrend confirms euphoria; low volatility reflects accumulation or boredom.
ACI SCAN Trend
[H1] Synthetic recommendation based on the slope and structure of the Altcoins Index curve. Provides a clear directional guideline by aggregating all trend data from the scan.
ACI SCAN Score
[H1] Global normalized score from -1 (Defensive Mode) to +1 (Offensive Mode). Measures dominant psychology: at +1, the market is in full euphoria (watch for reversals); at -1, it is in capitulation (potential bottoming opportunity).

SCALPING SIGNALS

★ Algo FVG M5 ELITE
[M5] Detects Fair Value Gaps. Highlights short-term institutional acceleration zones (Flow < 10 min).
★ Algo RANGE M5 ELITE
[M5] Identifies range boundary bounces. Ideal for scalping during sideways phases (Flow < 10 min).
★ Algo MACDLE M5 ELITE
[M5] Proprietary momentum signal. Filters noise to capture the impulse (Flow < 10 min).
★ Algo TREND M5 ELITE
[M5] Determines the micro directional trend. Aligned with immediate flow (Flow < 10 min).
★ Algo WICK M5 ELITE
[M5] Analyzes wick rejections. Indicates immediate price absorption (Flow < 10 min).
★ Algo PATTERNS M5 ELITE
[M5] Chart pattern recognition: W, M, Flags (Flow < 10 min).
★ Algo VWAP M5 ELITE
[M5] Price position relative to VWAP. Shows whether the asset is “Cheap” or “Expensive” (Flow < 10 min).

SWING SIGNALS

★ Algo FVG H1 ELITE
[H1] Detects major Fair Value Gaps. Defines institutional support zones (Flow < 2h).
★ Algo RANGE H1 ELITE
[H1] Identifies range structure. Locates distribution/accumulation zones (Flow < 2h).
★ Algo MACDLE H1 ELITE
[H1] Momentum signal. Validates the strength of the underlying trend (Flow < 2h).
★ Algo TREND H1 ELITE
[H1] Analyzes structural trend. Pillar of medium-term directionality (Flow < 2h).
★ Algo WICK H1 ELITE
[H1] Detects rejections on key levels. Potential reversal signal (Flow < 2h).
★ Algo PATTERNS H1 ELITE
[H1] Major pattern recognition. Identifies structural breakouts (Flow < 2h).
★ Algo VWAP H1 ELITE
[H1] Value analysis relative to VWAP. Institutional pivot of the day (Flow < 2h).

4D MARKET TRIGGER

★ 4D Range ELITE
[M5/M15/H1/H4] Analyzes the exact position of current price within the detected local range channel. Tells whether price is “cheap” (bottom of range) or “expensive” (top of range) before entering compression trades.
★ 4D Left ELITE
[M5/M15/H1/H4] Measures proximity to historical barriers (S/R, Fibo, FVG, Order Blocks). Shows whether there is a “wall” to the left of the chart that may block price or provide a strong bounce area.
★ 4D Trend ELITE
[M5/M15/H1/H4] Evaluates strength and direction of the underlying trend via a proprietary structural breakout score. Confirms whether dominant flow is truly bullish or bearish, filtering counter-trend noise.
★ 4D Extend ELITE
[M5/M15/H1/H4] Detects extreme overbought/oversold states relative to moving averages (EMA200) and tension indicators (RSI). Warns of “rubber band” risk: high score = stretched move with high probability of sharp mean-reversion.
★ 4D Score ELITE
[M5/M15/H1/H4] Algorithmic synthesis of the four modules (Range, Left, Trend, Extend) normalized from -1 to +1. Final AI verdict: at +1, all dimensions align for a LONG; at -1, full alignment for a SHORT.

CRYPTOSCAN10

★ CS10 Trend ELITE
[M5] Directional synthesis from 10 technical pillars (Volume, S/R, Fibo, FVG, OB, Patterns, Wicks, RSI, ATR, MACD). Provides a simplified read of dominant flow and validates whether momentum is aligned with institutional location zones.
★ CS10 Score ELITE
[M5] Confidence score normalized from -1 (SELL) to +1 (BUY), computed via a weighted average favoring momentum (65%) over location (35%). A score near extremes (+1/-1) indicates rare confluence where volume, structure and volatility align into a high-probability signal.

DERIVSCAN10

★ DS10 Trend ELITE
[H1] Heavy trend computed from aggregation of 10 derivative flows. Ideal for filtering false technical signals.
★ DS10 Score ELITE
[H1] Algorithmic confidence index: -1 (full bearish pressure) to +1 (maximum buying strength).
★ DS10 Funding ELITE
[H1] Average funding fees. Very high (Long) or very low (Short) rates often signal an imminent end of move.
★ DS10 Funding Persistance ELITE
[H1] Measures duration of funding pressure. The longer it persists, the higher the risk of a squeeze (forced liquidations).
★ DS10 Premium Index ELITE
[H1] Spread between Spot and Perpetual price. A “Discount” (perp < spot) often signals buyer capitulation.
★ DS10 Open Interest Change ELITE
[H1] Change in Open Interest. An increase confirms new capital entering and strengthens the current trend.
★ DS10 Price/OI Quadrant ELITE
[H1] Combined Price/OI analysis. Distinguishes genuine trend moves (Long Build) from simple short covering.
★ DS10 Basis 3M ELITE
[H1] Annualized yield of 3‑month contracts. Reflects medium‑term investor sentiment (Contango or Backwardation).
★ DS10 Taker Buy/Sell Ratio ELITE
[H1] Buy vs Sell volume ratio on the Taker side. Measures immediate aggressiveness of buyers.
★ DS10 Long/Short Ratio ELITE
[H1] Distribution of Long vs Short accounts. Useful to detect when Retail majority is on the wrong side.
★ DS10 Liquidations Spike ELITE
[H1] Volume of forced orders. A spike in liquidations often marks a local top or bottom.
★ DS10 Funding Pressure ELITE
[H1] Alert on critical funding imbalance. Indicates imminent risk of liquidation cascades.

SMC-FIBO

★ SMC-FIBO Trend ELITE
[M5/H1] Direction validated by the SMC-FIBO engine (BUY/SELL). Forces WAIT status if price is not close to the Fibo entry zone.
★ SMC-FIBO Score ELITE
[M5/H1] Setup strength from 0 to 10. Aggregates confluences: HTF Trend, structural CHOCH, session breakout (Asia), and presence of Order Blocks/FVG.

MTF-SYNC

★ MTF-SYNC Long x5 ELITE
[M5/H1] Analyzes convergence of 5 core bullish indicators (Structure, OB, FVG, EMA, Volume) on higher timeframes. Measures global “thrust” strength: more green blocks = stronger institutional backing for long setups.
★ MTF-SYNC Long x2 ELITE
[M5/H1] Evaluates 2 precision indicators (RSI Momentum, Micro-structure) to refine entry timing. Acts as a Trigger: these blocks confirm optimal timing once the higher-timeframe trend (x5) is validated.
★ MTF-SYNC Short x5 ELITE
[M5/H1] Analyzes convergence of 5 core bearish indicators on higher timeframes. Identifies major distribution zones: a full score (5/5) indicates very high probability of continued downside.
★ MTF-SYNC Short x2 ELITE
[M5/H1] Evaluates 2 precision indicators to confirm buyer exhaustion and short timing. Acts as a “Sniper” signal for short positions, confirming that price rejection is underway.