The second one already includes the important bit in the first one, ie: Risk*AccountFreeMargin()
I don't believe in this kind of MM though. The position size should be based on risk vs some sort of expected returns, rather than some fixed percentage of the amount of money you have.
There is also no correlation between the last win/loss (OrderProfit) vs the next win/loss unless that is part of your strategy somehow.
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here is some of others best of MM
Can someone suggest to me how to combine both coding into one ...?your help, hope me win on my eas...
1st order open sell/buy loss,
then
2nd open order sell/buy increase double (2x) from previous lots...to cover loss from 1st order... hope it may win...
main things is i want to recover every losses i made by increasing the lot after each losses...
thank you...
regards,
MANSTIR