SAAD TrendTracker
FREE
Veröffentlicht:
11 November 2016
Aktuelle Version:
3.6
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Sorry Adnan, that was not the correct one, please ignore and find that correct one attached here
Salam Adnan, did you have time to check the problem with AUDUSD pair not working with EA?
Khaled
Salam Adnan, did you have time to check the problem with AUDUSD pair not working with EA?
Khaled
Hi Khalid,
Yes I checked it but I did not find any issue in provided screenshot. All looks fine. Is it only happening with AUDUSD. If it is margin issue, it should impact other pairs also.
Did you check logs any error?
Are you using EA only for one broker. Can you try another MT4.? If not resolved I will provide you a locked copy to test. Please share your account number by PM.
Hi Khalid,
Yes I checked it but I did not find any issue in provided screenshot. All looks fine. Is it only happening with AUDUSD. If it is margin issue, it should impact other pairs also.
Did you check logs any error?
Are you using EA only for one broker. Can you try another MT4.? If not resolved I will provide you a locked copy to test. Please share your account number by PM.
Thank you Adnan. I communicated with the broker and reached a resolution. It seemed I used a AUDUSD pair which is disabled by Broker. When I chose another AUDUSD pair it worked. So, Alhamdulellah there is nothing wrong with the EA.
Appreciate your support.
Revised balance recommendations from my previous post.
USD/JPY TF M5 (400€/$ per lot)
AUD/USD TF M5 (750€/$ per lot)
EUR/USD TF M5 (200€/$ per lot) (favorite)
AUD/JPY TF M5 (200€/$ per lot)
EUR/AUD TF M5 (200€/$ per lot) (favorite) (5 pips target)
Minimum Operating Balance: 1750€/$
These numbers are based on real live trading draw-down experience and what is said in the forums. (Usage example: If EUR/USD is 0.04 lots you will want to keep 800€/$ for that).
It's assumed you are using all of these pairs simultaneously so in worst-case scenarios they can borrow money from each other.
For more details on how these figures were calculation please see this post.
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
Revised balance recommendations from my previous post.
USD/JPY TF M5 (400€/$ per lot)
AUD/USD TF M5 (750€/$ per lot)
EUR/USD TF M5 (200€/$ per lot) (favorite)
AUD/JPY TF M5 (200€/$ per lot)
EUR/AUD TF M5 (200€/$ per lot) (favorite) (5 pips target)
Minimum Operating Balance: 1750€/$
These numbers are based on real live trading draw-down experience and what is said in the forums. (Usage example: If EUR/USD is 0.04 lots you will want to keep 800€/$ for that).
It's assumed you are using all of these pairs simultaneously so in worst-case scenarios they can borrow money from each other.
For more details on how these figures were calculation please see this post.
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
Thanks for the update Henry.
Interesting to note that your new recommendations are 75% more than Adnan's revised $1,000 recommendation, and a huge 250% more than the original $500 recommendation.
Lets hope AUDUSD has sorted itself out and no more changes need to be made in the near future!
Thanks for the update Henry.
Interesting to note that your new recommendations are 75% more than Adnan's revised $1,000 recommendation, and a huge 250% more than the original $500 recommendation.
Lets hope AUDUSD has sorted itself out and no more changes need to be made in the near future!
Hey amiddup, indeed! I hope so too!
It just comes to show how dangerous the market situation can be. If you multiply my recommendation of 1,750$ times ten for Adnan's lot size (so 17,500$), you can see his live account balance of 17,168$ is just about right.
And it had nearly exceeded 50% draw-down again. So I think my recommendation is just about right, as a minimum. ;)
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
One really has to appreciate the supportive community especially around Adnan's EA, so "Thank you".
I was wondering about your opinion on changing the "span dist pips"-value. Is it recommended, or strongly discouraged, or in-between?
Because when the EA opened the fourth follow-up order on AUDUSD with 0.32 lots (coming from 0.02, in my case), I was getting nervous and wanted to keep it from doubling that up, so I just increased the span dist.
On the other hand, that might cause missing chances to win some money back.
So, has anybody had experiences with adjusting the span dist, be it good or bad?
Bisogna davvero apprezzare la comunità di supporto, reso intorno all'AD di Adnan, quindi "Grazie".
Mi chiedo la tua opinione su come cambiare il valore "span dist pips". È raccomandato, o forte scoraggiato, o intermedio?
Perché quando l'EA ha aperto il quarto ordine di follow-up su AUDUSD con 0,32 lotti (importa da 0,02, nel mio caso), mi stavo innervosendo e volevo impedirgli di raddoppiare, quindi ho semplicemente avanzato lo span dist.
D'altra parte, ciò potrebbe causare la perdita di possibilità di guadagnare qualche soldo indietro.
Quindi, qualcuno ha avuto esperienze con la regolazione dello sforzo, che sia buono o cattivo?
span dist pips ". 50
One really has to appreciate the supportive community especially around Adnan's EA, so "Thank you".
I was wondering about your opinion on changing the "span dist pips"-value. Is it recommended, or strongly discouraged, or in-between?
Because when the EA opened the fourth follow-up order on AUDUSD with 0.32 lots (coming from 0.02, in my case), I was getting nervous and wanted to keep it from doubling that up, so I just increased the span dist.
On the other hand, that might cause missing chances to win some money back.
So, has anybody had experiences with adjusting the span dist, be it good or bad?
I did not change the Span Pips, still I am using 100 pips. Look at Daily chart for AUDUSD, It is at very strong resistance level and price is moving in a channel since 2015 and currently with Triple TOP. If price breaks above channel , upward move will be very strong and it may harm the account. Because of strong resistance in this channel , most probably price will move down. 100pip span is estimated to cover this top and bottom approach in my testing.
In my account followup 5th trade was opened at top of the channel but it was closed due to middle trend change over yesterday. If it still existing, most possible all trades were cleared.
Just wondering what happen to this trade? Why the signal show tp as my understanding EA don't show SL or TP?
EUR / JPY: 15 minutes
Order: 135.157
Current: 137.19
: -200 pip
Should I wait?
EUR / JPY : 15 회
주문 : 135.157
현재 : 137.19
: -200 pip
수동으로 설정해야 하나요?(SL)
EUR / JPY: 15 minutes
Order: 135.157
Current: 137.19
: -200 pip
Should I wait?
Stop panicking and play a video game or something! xD
I haven't touched my account in months, it just works.
Simpy let the bot do its thing and if it's low on margin make sure you throw some money at the account until you meet my balance recommendations.
If the EA requires you to press buttons all day then it's either not able to do its job because of manual interfering or your settings are wrong.
P.S. EUR/JPY is not in the list of recommended pairs. Seems like a risky move in my opinion... should just go with the pairs on Adnan's live signal.
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
Just wondering what happen to this trade? Why the signal show tp as my understanding EA don't show SL or TP?
Hey Sameh,
yeah that's weird. The EA will not use that type of take profit / stop loss... I just hope it isn't your broker or someone else on your account or something like that...
I have had a lot of glitches in my live signal, showing equities I never had and such. Maybe it's just a glitch? It seems weird that stop loss and take profit are at the same value as the closing price.
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
I did not change the Span Pips, still I am using 100 pips. Look at Daily chart for AUDUSD, It is at very strong resistance level and price is moving in a channel since 2015 and currently with Triple TOP. If price breaks above channel , upward move will be very strong and it may harm the account. Because of strong resistance in this channel , most probably price will move down. 100pip span is estimated to cover this top and bottom approach in my testing.
In my account followup 5th trade was opened at top of the channel but it was closed due to middle trend change over yesterday. If it still existing, most possible all trades were cleared.
Good call Adnan!!!
Price acted exactly as you predicted! Phew. I must admit, I got pretty nervous too when the 5th follow-up order was opened on AUDUSD. Lets hope it continues falling to wipe out the remaining open positions...
Hey Sameh,
yeah that's weird. The EA will not use that type of take profit / stop loss... I just hope it isn't your broker or someone else on your account or something like that...
I have had a lot of glitches in my live signal, showing equities I never had and such. Maybe it's just a glitch? It seems weird that stop loss and take profit are at the same value as the closing price.
Henry de Jongh
Software Developer
https://00laboratories.com/ • MT4 Trading Signal
Just wondering what happen to this trade? Why the signal show tp as my understanding EA don't show SL or TP?
Please let me to clarify this trade, It is not EA issue. EA dont update SL and TP. I manually adjusted its SL to minimize its impact while testing a scenario to avoid duplicated trades on live account. This trades was closed due to manual adjustment of SL but original trade you can see it was closed yesterday.
I hope I am allowed to do some testing on this account :). If it is creating trouble, I will avoid it next time.
helo guys, just rented today. I'm on micro account and kinda confuse on how to get 1 dollar profit I thought 10 pip target is ok.
also whats ur opinion if I use I minute and adjust the High TF to H1 , middle TF TO m15?..
anyways would it be better if u suggest the preferable setting for me ? micro account 300 usd capital leverange 1.500. is it safe to trade with this capital for 2 pair same time ?
thank u in advance
helo guys, just rented today. I'm on micro account and kinda confuse on how to get 1 dollar profit I thought 10 pip target is ok.
also whats ur opinion if I use I minute and adjust the High TF to H1 , middle TF TO m15?..
anyways would it be better if u suggest the preferable setting for me ? micro account 300 usd capital leverange 1.500. is it safe to trade with this capital for 2 pair same time ?
thank u in advance
Hi Jumarguiang,
Can you please confirm from your broker, if it is Micro Account? As per your provided image, Account is generating 0.08USD against 8Point or .8pip as per your adjusted lotsize .01.
It seems Standard Account. in inputs you need to adjust Standard instead of Micro. But please confirm first if it is Micro Account.
Profit for Micro Account should be : .008USD after .8Pip/8 Point.
Hi Jumarguiang,
Can you please confirm from your broker, if it is Micro Account? As per your provided image, Account is generating 0.08USD against 8Point or .8pip as per your adjusted lotsize .01.
It seems Standard Account. in inputs you need to adjust Standard instead of Micro. But please confirm first if it is Micro Account.
Profit for Micro Account should be : .008USD after .8Pip/8 Point.