Session models for disciplined analysis
Use the CP New York Model, CP London Model, and CP Asia Model to frame session ranges, liquidity sweeps, and timing windows directly on TradingView.
ICT TradingView Indicators
Professional TradingView indicators built for traders who study ICT, smart money concepts, market structure, liquidity, and session-based price delivery. ClearPeak helps organize repeatable analysis across the New York, London, and Asia sessions without promising outcomes or replacing disciplined risk management.
Use the CP New York Model, CP London Model, and CP Asia Model to frame session ranges, liquidity sweeps, and timing windows directly on TradingView.
The CP Structure Model and CP Liquidity Model help traders identify break of structure, change of character, and areas where buy-side or sell-side liquidity may matter.
ClearPeak focuses on consistency: chart context, planned setups, and structured review. Indicators support the process; they do not replace education, testing, or risk controls.
ClearPeak Trading was built for traders who want a cleaner way to study price delivery on TradingView. Instead of manually marking every session range, liquidity pool, order block, fair value gap, or market structure shift, ClearPeak provides focused models that highlight repeatable areas of interest. The platform is designed for workflow clarity: identify context, wait for confirmation, manage risk, and review outcomes.
The CP New York Model focuses on the New York open and session-specific liquidity behavior. The CP London Model supports London killzone preparation and post-open structure analysis. The CP Asia Model helps frame Asian range development and possible London sweep scenarios. For broader context, the CP Structure Model highlights structure shifts while the CP Liquidity Model maps potential buy-side and sell-side liquidity. The CP Venom Model adds volatility context for traders who want to understand changing market conditions.
ClearPeak indicators are educational and analytical tools. They do not provide financial advice, guarantee accuracy, or guarantee results. Every trader should test ideas, maintain a written plan, and use risk management before applying any tool in live markets. Our goal is to help users see market context more clearly, not to encourage impulsive trading.
Analyze historical trade data with dynamic risk settings. Projections are based on real trade executions uploaded by our fund managers.
Total R
Profit in Multiples
Win Rate
Win Consistency
Max Trailing DD
Worst R drawdown (selected period)
Trades
In Sample Period
Join hundreds of traders using the CP Asia Model to find high-probability opportunities.