MT5 EA based on MA crossover with advanced correlations and money management needed

MQL5 Experten

Auftrag beendet

Ausführungszeit 21 Tage

Spezifikation

Please give me an offer + the actual dev time that's needed within which it will be completed 100%. 


Step 1: Universe


Trade in indices, commodities, and Fx using daily closing prices.



Step 2: Trigger


Enter the market when there is a breakout from -20day MA long/short or -55day MY long/short.

Use ATR(14) as a required value.



Step 3: Check


Before entering the market, ensure that the current price is within 10 x ATR.

If it is a bull signal, set the stop loss below the low; if it is a bear signal, set the stop loss above the high.

Also, make sure that the current ATR(14) is greater than 2 x the historical ATR(3Y).



Step 4: Determine position size


Input 1% of the total investment volume (E), which is the sum of cash and current positions.

Calculate the basic trade unit using ATR, with the standard unit being 2 ATR.

Convert ATR to options/futures and choose the maturity of the next month or the volume-strongest strike or +3 months.

Set the standard stop loss to 2 ATR (input) or below the 10-day MA at a signal 20-day MA or the 20-day MA at a signal 55-day MA.



Step 5: Position pyramid


Maximize up to 4 times and determine the following:

Total capital (E)

Current ATR(14)

Stop loss

New unit

Change stop unit 1 to the new stop.



Step 6: For information


Determine the position size using ATR(14), with DAX ATR(14) = 190 points and DAX-future = 25 € per point.

If E = €1,000,000 and the risk per position is 1% of E, the unit is 2 ATR. Therefore, 2 x 190 x 25 = €9,500, and the risk is €10,000, making the unit 1 future.



Step 7: Portfolio exposure


To maintain a market-neutral position, calculate the portfolio exposure for each trade by measuring the ratio of long positions to short positions.

Calculate the net delta of all positions, which is the sum of the delta of each long position minus the sum of the delta of each short position.

Divide the net delta by the total investment capital to get the percentage of the portfolio exposure.

If the percentage is positive, it means the portfolio is long biased, and if it's negative, it's short biased.

If the percentage is too high in either direction, it may be necessary to adjust the positions to maintain a neutral position.



Step 8: Correlations


In addition to the trigger and check criteria, consider the correlation between existing positions and potential trades.

Use MetaTrader 5's built-in tools or plugins to calculate the correlation between pairs of securities.

Set a maximum correlation threshold, such as 0.7, and only enter trades that fall below this threshold.

Periodically re-evaluate the correlations between positions and adjust the portfolio accordingly to ensure a balanced and diversified portfolio.



Additional features:


  • News filter: Stop trading before upcoming events

  • Virtual loss filter 


Bewerbungen

1
Entwickler 1
Bewertung
(7)
Projekte
12
8%
Schlichtung
3
0% / 67%
Frist nicht eingehalten
4
33%
Frei
2
Entwickler 2
Bewertung
(255)
Projekte
262
30%
Schlichtung
0
Frist nicht eingehalten
3
1%
Frei
Veröffentlicht: 2 Beispiele
3
Entwickler 3
Bewertung
(72)
Projekte
80
10%
Schlichtung
38
8% / 58%
Frist nicht eingehalten
6
8%
Frei
4
Entwickler 4
Bewertung
(511)
Projekte
549
53%
Schlichtung
13
69% / 15%
Frist nicht eingehalten
3
1%
Frei
5
Entwickler 5
Bewertung
(16)
Projekte
35
23%
Schlichtung
4
0% / 50%
Frist nicht eingehalten
2
6%
Arbeitet
6
Entwickler 6
Bewertung
Projekte
0
0%
Schlichtung
0
Frist nicht eingehalten
0
Frei
7
Entwickler 7
Bewertung
(119)
Projekte
169
38%
Schlichtung
9
78% / 22%
Frist nicht eingehalten
15
9%
Frei
Ähnliche Aufträge
This is yakubu Jnr trading bots I create the trading robots to help my self and others traders to be successful please you can join my live trading bots or subscribe to my trading robots
Nyasco 90+ USD
Fast trading bot for starters less losses which leads to bigger profits made for thousands of people making billions of dollars .be the best trader for your self all the way
Nyasco 30+ USD
Faster robot with less losses which can be used for a long term earning money every day creating a bot for more than thousands of people to earn billions of money
Max amount grid 30+ USD
max amount grid step for magic number do keep deleting .only when it is in negative floating .but when it is profit allow to go over the max and replays to grid step
Apply with a screen of your work . Symbol Specific Logic . Live Chart Optimization Check the Core logic . [back tests as well] Change points to pips . Create buffer for the zone
I will pay 3000+ USD (negotiable) for an EA for existing MT5 that generates a minimum of 15-20% or higher a month consistently (provide source code after final deal) Looking for a highly profitable EA Please send demo version directly subject (Buying profitable EA Budget up to $ 3000 USD), past results and optimal settings so I can test, if it performs in a strategy tester i will also need option to forward test it
EA fx 30+ USD
Hello, I need an already developed EA similar to the one trading XAUUSD, with consistent entries and good risk management. Before we proceed, I would like to verify its performance. Please provide a live or demo account login along with the investor (read-only) password so I can monitor the trading results. I am looking for stable performance, controlled drawdown, and consistent profit on gold (XAUUSD). Once I
The strategy records the highest and lowest prices within a specified duration (default 15 minutes) after the New York market opens, forming the opening range. Post-Formation Breakout: When the price breaks above or below the opening range after its formation, it may indicate the direction of the day’s price movement. Trend Confirmation: The strategy uses two EMAs (default 20-period and 50-period) as trend filters to
Tengo una estrategia basada en divergencia para el oro sobre todo en tf m1 Basado en divergencia con stoch .. confirmando la entrada con ciertos parameteos de entrada Es mejor conversarlo para dar mejor los detalles Cuando entrar, porque o todas las divergencias se debe tomar para entrar en compras o ventas He adjuntado un ejemplo La confrmacion más exacta es el cruce de esos parámetros de stoch edebajo de level de

Projektdetails

Budget
50 - 20000 USD
Ausführungsfristen
bis 10 Tag(e)