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Tarantella EA: Advanced Adaptive Grid Trading System
Tarantella is a sophisticated grid trading Expert Advisor that combines traditional grid strategies with innovative risk management techniques. At its core, the EA places buy/sell orders in expanding Fibonacci-based intervals, dynamically adjusting position sizes and grid spacing based on market conditions.
Key Features:
Market Profile Integration: Restricts trading to high-probability Value Areas (70% typical) while avoiding Point of Control zones
Multi-Layer Trend Filtering: Combines ADX trend strength detection with MA/MACD directional confirmation across timeframes
Intelligent Hedging System: Activates counter-trades at user-defined intervals with partial close options
Adaptive Grid Management: Uses Fibonacci ratios (1.0, 1.618, 2.618...) for dynamic grid spacing and lot scaling
Advanced Entry Conditions: Requires consecutive bars + volume filters + optional ATR/RSI confirmation
Comprehensive Risk Management:
Trailing stops & breakeven triggers
Position limits with oldest-trade closure
Equity-based full/partial closure rules
Stop-loss buffers respecting broker constraints
Strategic Advantages:
Trades only during confirmed trends (ADX > 25 + MA/MACD alignment)
Avoids low-probability zones using Market Profile analysis
Mitigates drawdown through proactive hedging
Adapts to volatility via Fibonacci grid expansion
Implements 4-layer risk protection (position limits, equity stops, trailing mechanisms, and hedge coverage)
Please be aware: This EA is not designed for live trading. Using martingale strategies or increasing lot sizes could eventually lead to a complete loss of your balance. It is intended for demo and strategy testing only. The code requires significant updates before it is suitable for live trading. Consider it a work in progress and feel free to make improvements.
Ideal For: EURUSD, GBPUSD, XAUUSD and other liquid pairs on M15-H1 timeframes. Requires medium-high volatility environments.
Package Includes: Fully commented code, preset files for major pairs, and detailed risk management guide.

Interface for implementing asynchronous execution of algorithms

Profit Maximiser (PMax) Indicator is an indicator created by integrating the moving average of the Supertrend indicator.

It is an indicator that determines target levels according to the average of price movements.

The EA identifies trade setups by waiting for a user-defined number of indicators (e.g., 2 out of 3) to show divergence simultaneously. This multi-layer confirmation approach filters out market noise. Key Features: Triple Confirmation Engine: Analyzes RSI, MACD, & Stochastic divergence. Advanced Filters: Optional Trend Filter (MA) and Volume Filter for superior signal quality. Full Customization: Control all indicator settings, divergence sensitivity, and trade logic. Professional Risk Management: Use fixed lots or percentage-based money management with SL/TP.