PROMETHEUS INSTITUTIONAL v1.0
A professional trading indicator fusing a self-optimising neural
network with institutional Smart Money Concepts. PROMETHEUS learns
from every trade, adapts to every market condition, and delivers
structured, high-confidence reversal signals across all symbols
and timeframes.
⚙️ DUAL NEURAL NETWORK ARCHITECTURE
SignalNet (75→48→24→1) analyses 75 institutional-grade features
spanning microstructure, momentum, volatility, volume and structure
to generate a calibrated signal probability.
SweepNet (20→12→1) operates as a dedicated sweep quality classifier,
independently scoring each liquidity sweep before it reaches the
main signal engine.
Both networks pre-train on 750 labelled historical bars before the
first live signal, retrain on every closed trade using graduated
labels, and use a balanced experience replay buffer for stable
gradient updates. Weights persist across sessions.
📊 SMART MONEY CONCEPTS
Order Blocks — detected with impulse strength labelling, invalidated
only on a close beyond the boundary, not a wick touch.
Fair Value Gaps — three-candle imbalance zones with real-time fill
percentage tracking. Signal weighting reduces proportionally as
fill increases.
Liquidity Pools — multi-touch equal-high and equal-low clusters
labelled BSL and SSL. Used as structured TP2 targets.
When a liquidity pool is swept, SweepNet scores the event. If
confirmed by at least two structural criteria — engulfing candle,
Order Block return, Fair Value Gap entry or strong body close —
a high-confidence reversal signal is issued.
🧠 INTELLIGENT FILTERS
Market Regime Detector classifies five conditions — Quiet Trending,
Quiet Ranging, Volatile Trending, Volatile Ranging and Crisis —
updating every five bars from realised volatility ratio, trend R²
and Amihud illiquidity. Each regime adjusts tier weights and
confidence thresholds in real time.
Entry Quality Gate blocks signals on wide spreads, ATR collapse,
low volume, gap openings, consecutive loss streaks and active news
windows including NFP, FOMC, CPI, daily rollover and session opens.
Structure-Based TP/SL places Stop Loss at the institutional
invalidation level, TP1 at the nearest Fair Value Gap, and TP2
at the nearest opposing Liquidity Pool. ATR-based fallbacks apply
when no structural target qualifies at the minimum R:R.
Higher Timeframe Bias runs on two tiers simultaneously, with
reference timeframes selected dynamically per trading style.
Scalping frames receive a composite penalty rather than a hard
block, preserving counter-trend sweep entries by design.
Trailing Stop activates after TP1 and follows price using ATR
distance scaled to style. Timeout Exit closes stale trades
automatically at 15, 40 or 80 bars depending on style.
🖥️ VISUAL AND ALERT SUITE
Signal arrows display confidence rating, NN score, tier breakdown,
signal source (SWEEP or FEATURE) and regime, with TP/SL lines
extending 120 bars and R:R ratios labelled.
Dashboard covers regime, NN training status, warmup progress,
win rate per regime, NN confidence calibration across four
buckets, net P&L and maximum drawdown.
Microstructure HUD shows live OFI, VPIN, Market Depth, Hurst
Exponent, Shannon Entropy and Fractal Dimension.
Neural Net HUD shows architecture, training steps, loss curve
status, last NN score and SweepNet sample count.
Alerts via desktop popup (cTrader native API) and Telegram.
💡 UNIVERSAL AND ADAPTIVE
Auto-detects Scalping (M1–M10), Intraday (M15–H2) or Swing
(H4–D1) on load and configures all internal parameters
accordingly. No manual setup required.
Works on all symbols and timeframes with any cTrader broker.
Signals fire on bar close and do not repaint.
Recommended pairs: EURUSD · GBPUSD · XAUUSD · NAS100 ·
US30 · GBPJPY
⚠️ Risk Warning: Trading financial instruments carries
significant risk of loss and may not be suitable for all
investors. This indicator does not guarantee profitable
results. Past performance is not indicative of future
outcomes. Always apply appropriate risk management.