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PAID MT5 BUNDLE - MQ5 + EX5 INCLUDED

3-in-1 MT5 Indicator Bundle for ICT, SMC and Probability-Based Trade Planning

This bundle is built for traders who want a practical MetaTrader 5 workflow: market bias, institutional structure, and pending-order planning. It includes three separate indicators: a 12-hour bias engine, a multi-symbol institutional flow dashboard, and a D1/H1 15-pip pending signal optimizer.

3-in-1 MT5 Indicator Bundle cover

What You Get After Purchase

MT5 12H Bias Engine

Native MQL5 pattern engine that compares current OHLC behavior against similar historical setups and reports 12-hour buy/sell bias, quality, expectancy and risk state.

MT5 Bank Orders Dashboard

Multi-symbol smart money dashboard for supply/demand, liquidity, BOS, CHoCH, FVG, equal highs/lows, premium/discount and execution-zone context.

D1/H1 15-Pip Pending Signal

Pending-order planner that tests Buy Stop, Sell Stop, Buy Limit and Sell Limit scenarios from H1/D1 historical behavior, fill probability and profit factor.

Why This Is Not Just Another Arrow Indicator

The bundle is designed around decision support, not blind entry arrows. The indicators read historical OHLC behavior, session context, volatility, spread, broker symbol properties and chart structure before printing a plan. The goal is to help a trader answer three questions: what is the higher-probability direction, where is institutional structure, and which pending-order type has the best historical edge right now?

IndicatorMain EngineBest UseImportant Output
12H Bias EngineNative MQL5 KNN-style OHLC pattern matchingFinding directional bias for the next 12 hoursHIGH BUY / HIGH SELL / VALID / WATCH / NO TRADE with expectancy and TP references
Institutional Flow DashboardSMC structure, zones, liquidity and confirmed signal lockScanning multiple pairs for clean institutional contextSignal score, zone type, swing state, trade plan, BOS/CHoCH, FVG and locked confirmed state
D1/H1 Pending SignalD1 regime plus H1 scenario testingChoosing Buy Limit, Sell Limit, Buy Stop or Sell Stop plansEntry, TP, SL, fill chance, TP chance, PF, score, recent-sample stats

What Makes the Bundle Technically Different From 95% of Internet Indicators

Most indicators sold online are built around one narrow idea: draw an arrow when two conditions match. That can look good in a screenshot but often breaks down in live trading because the tool does not understand sample quality, broker execution, spread, market regime, session timing or whether a setup has a valid entry/SL/TP plan. This bundle is different because the three tools approach the market from separate professional angles: probability bias, institutional structure, and order-type selection.

1. Probability Before Direction

The 12H Bias Engine does not assume a trade because a candle is green or red. It studies similar historical OHLC conditions and reports bull probability, bear probability, no-hit percentage, expectancy and quality.

2. Structure Before Entry

The Bank Orders Dashboard organizes price action into supply/demand, liquidity, FVG, BOS/CHoCH, premium/discount and a confirmed signal lock. It is built to reduce random entries in mixed structure.

3. Entry Type Before Execution

The D1/H1 Pending Signal engine compares Buy Stop, Sell Stop, Buy Limit and Sell Limit plans instead of forcing one market-entry style on every situation.

Complete Trading Workflow

The strongest way to use the bundle is not to treat one tool as a holy-grail signal. The professional workflow is to let each indicator answer a different question. First, the 12H engine checks whether historical cases support a directional bias. Second, the dashboard checks whether institutional structure agrees with that bias. Third, the pending-order engine checks whether the better plan is breakout, pullback, buy-side pending or sell-side pending.

StepQuestionIndicator UsedGood ResultWarning Result
1Does the next 12-hour path have a historical directional edge?12H Bias EngineHigh quality buy/sell, positive expectancy, acceptable no-hit rateNo trade, low quality, weak expectancy, high market risk
2Is price sitting around a meaningful institutional zone?Bank Orders DashboardDemand/supply zone, BOS or CHoCH support, FVG/liquidity contextMixed structure, no clean execution plan, opposite swing pressure
3Which order type makes the most sense now?D1/H1 Pending SignalPasses fill, win, PF, EV, sample and reliability filtersFails filter even if raw win percentage looks attractive
4Should the trade be skipped?All threeAligned evidence and controlled spread/riskConflict between bias, structure and pending-order result

Source Code Value

The bundle includes MQ5 source code, which is important for traders, developers and resellers who do not want a locked black-box indicator. Source access means the buyer can study the logic, adjust default parameters, change symbol lists, modify display labels, improve filters, add alerts, connect the output to an EA, or rebuild a private version for their own trading process.

For Traders

Understand why the tool prints a signal, test it on your broker, and avoid depending on hidden compiled logic.

For Developers

Use the architecture as a base for custom MT5 dashboards, scanners, signal engines, alerts or EA integration.

For Sellers

Study how a professional product page and source-based MT5 tool can be structured without relying on unrealistic accuracy claims.

Technical Breakdown by Module

ModuleInternal LogicWhy It Matters
12H Bias Feature BuilderATR pips, prior range, candle body, wick pressure, close location, sequence momentum, compression, session bucket and minute-of-day.Prevents the engine from comparing today's setup with unrelated historical candles.
Native KNN Case SearchFinds nearest historical cases using weighted feature distance and a maximum distance filter.Creates a data-supported probability view instead of a fixed indicator rule.
Forward Outcome TestChecks whether bullish TP, bearish TP or no target happened inside the forward horizon.Separates real target-hit behavior from simple candle direction.
SMC Zone EngineBuilds supply/demand zones, internal/swing structure, FVG, equal highs/lows and premium/discount context.Turns ICT-style visual concepts into a repeatable dashboard workflow.
Confirmed Signal LockMaintains a qualified setup for controlled bars unless invalidation or opposite logic appears.Reduces flicker and repeated alert noise during live market movement.
Pending Order SimulatorTests four pending-order styles with entry offsets, expiry, TP/SL order and conservative ambiguous-bar handling.Helps choose the order type with better historical behavior, not only the direction.
Robust FiltersUses sample count, fill rate, win rate, Wilson-style robustness, PF, EV, spread and recent-sample behavior.Blocks weak plans that look attractive from one isolated statistic.

Who This Bundle Is For

This is best for traders who already understand basic risk management and want deeper MetaTrader 5 decision support. It is also useful for MQL5 learners who want to study a practical multi-indicator product structure: input design, symbol scanning, broker suffix handling, chart object cleanup, probability reporting, signal locking and trade-plan display.

It is not for anyone expecting a guaranteed-profit robot. The indicators do not place trades automatically and they do not remove the need for position sizing, spread checks, news awareness and demo testing.

Limited Source Preview

This is only a small preview of input architecture and function names. The complete MQ5 source is delivered only through the paid Etsy bundle.

input bool   InpUseNativeKNN        = true;
input int    InpKNNNeighbors        = 120;
input double InpMinQualityScore     = 65.0;
input bool   InpShowFVG             = true;
input bool   InpUseConfirmedSignalLock = true;
input double InpMinimumProfitFactor = 1.15;

bool CalculateEngine(...);
void BuildTradePlan(...);
int  SimulateOrder(...);

Important Trading Disclaimer

No indicator can guarantee profit or 100% accuracy. These tools are technical decision-support indicators. Always test on demo first, understand the source logic, control risk per trade, and avoid trading during major news, abnormal spread or low-liquidity conditions.

Read the Three Technical Breakdowns

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