Hi guys,
need an advise.
I use tickvalue for calculating lot size.
Sometimes that piece of code returns zero:
I'm using tickValue to calculate Stopp Loss pips risked:
Any idea why tickVal sometimes is empty? Same with SYMBOL_TRADE_TICK_VALUE_LOSS.
regards, Lukas
Hi,
Hi, thanks for your tip.
After reloading the EA, the correct tickValue has been read and the order has been created.
I've appended some debug information today in hoping to get more error details next time:
for (int p = 0; p < 2; p++) { ResetLastError(); tickVal = SymbolInfoDouble(_Symbol, SYMBOL_TRADE_TICK_VALUE); tickVal = NormalizeDouble(tickVal, Digits()); if (tickVal > 0.0) { break; } else { Print("> Fehler für Symbol " + _Symbol + ", tickValue = 0.0, versuche es noch einmal..."); Sleep(1000); Print("> Fehler bei Holen von TickValue: " + IntegerToString(GetLastError())); } }The error appeared on two machines at different times.
Hi, thanks for your tip.
After reloading the EA, the correct tickValue has been read and the order has been created.
I've appended some debug information today in hoping to get more error details next time:
I've taken a look at user interfaces value, here's the problem (AUDJPY):
TickValue is only shown in Strategy Testers Symbolinformation.
Update: After opening the symbol information window again, TickValue has been calculated. Why does MT5 need a second try here? Perhaps one step to solution...
Update: same for AUDSGD
Update: same problem loop after MT restart: value shown at first: 0.0000.., second try: 0.7...real TickValue.
I've taken a look at user interfaces value, here's the problem (AUDJPY):
TickValue is only shown in Strategy Testers Symbolinformation.
Update: After opening the symbol information window again, TickValue has been calculated. Why does MT5 need a second try here? Perhaps one step to solution...
Update: same for AUDSGD
Is has been pointed out in the thread I've linked, tick_value is only reliable, if it is required for the symbols profit calculations.
Brokers will provide different values, sometimes in base/profit-currency of the symbol, sometimes in account currency. If given in account-currency, the server will take a moment to compute the value, therefore, it might be delayed in delivery. - As said, as long as the value is not required for the profit calculations, its not reliable. - Thats why I said, it will work occasionally.
Is has been pointed out in the thread I've linked, tick_value is only reliable, if it is required for the symbols profit calculations.
Brokers will provide different values, sometimes in base/profit-currency of the symbol, sometimes in account currency. If given in account-currency, the server will take a moment to compute the value, therefore, it might be delayed in delivery. - As said, as long as the value is not required for the profit calculations, its not reliable. - Thats why I said, it will work occasionally.
Hi Dominik,
thanks for your solution, I like it.
Once I use this workaround (tested):
Periodically call SymbolInfoDouble(_Symbol, SYMBOL_TRADE_TICK_VALUE) , eg. every PERIOD_H1 candle.
Then there's an existing value a long time BEFORE you need it for making orders. Not just one code line and some seconds before OrderSend().
Also I've read https://www.mql5.com/en/forum/425413 completely - but I don't understand what you mean with 'profit calculations'. Do you mean using SYMBOL_TRADE_TICK_VALUE_PROFIT doesn't produce the empty value error in contrast? Or did you just want to say, there is no need to use broker's precomputed value of SYMBOL_TRADE_TICK_VALUE just for calculating the stopp loss?

- 2022.05.18
- www.mql5.com
ENUM_SYMBOL_CALC_MODE
In the table, the right most column will show the formulas for profit calculations.
If tick value is not refered to there, then it is unreliable and can be given in any currency, base/profit or account currency.
ENUM_SYMBOL_CALC_MODE
In the table, the right most column will show the formulas for profit calculations.
If tick value is not refered to there, then it is unreliable and can be given in any currency, base/profit or account currency.
Hi Dominik,
ok, now I know what you mean, thank you very much.
Personally I think there shouldn't be any empty return values because of network delays (async). That seems to be not ok in my opinion.
But now we know some good workarounds :-)
regards
Lukas
As explained by @Dominik Christian Egert in one of his previous posts (see below), the Tick Value is only required if the profit calculation method requires it. If it does not, then there is no need to obtain the Tick Value and it maybe unreliable.
Also, you should only read the Tick Value, after the first tick has arrived. Prior to that the connection with the trade server may not have yet established properly for the required symbol data to have been fully downloaded.
Forum on trading, automated trading systems and testing trading strategies
SymbolInfoDouble(_Symbol, SYMBOL_TRADE_TICK_VALUE) sometimes zero
Dominik Christian Egert, 2022.08.09 21:58
Hmm...
I am not sure, we are on the same page.
Trade tick value is a property taken from the symbol. If this value is not required by the calculation defined in the documentation as shown here:
And specifically in this property:
ENUM_SYMBOL_CALC_MODE
In the table, the right most column will show the formulas for profit calculations.
If tick value is not refered to there, then it is unreliable and can be given in any currency, base/profit or account currency.
The ENUM_SYMBOL_CALC_MODE enumeration is used for obtaining information about how the margin requirements for a symbol are calculated.
Identifier
Description
Formula
SYMBOL_CALC_MODE_FOREX
Forex mode - calculation of profit and margin for Forex
Margin: Lots * Contract_Size / Leverage * Margin_Rate
Profit: (close_price - open_price) * Contract_Size*Lots
SYMBOL_CALC_MODE_FOREX_NO_LEVERAGE
Forex No Leverage mode – calculation of profit and margin for Forex symbols without taking into account the leverage
Margin: Lots * Contract_Size * Margin_Rate
Profit: (close_price - open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_FUTURES
Futures mode - calculation of margin and profit for futures
Margin: Lots * InitialMargin * Margin_Rate
Profit: (close_price - open_price) * TickPrice / TickSize*Lots
SYMBOL_CALC_MODE_CFD
CFD mode - calculation of margin and profit for CFD
Margin: Lots * ContractSize * MarketPrice * Margin_Rate
Profit: (close_price - open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_CFDINDEX
CFD index mode - calculation of margin and profit for CFD by indexes
Margin: (Lots * ContractSize * MarketPrice) * TickPrice / TickSize * Margin_Rate
Profit: (close_price - open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_CFDLEVERAGE
CFD Leverage mode - calculation of margin and profit for CFD at leverage trading
Margin: (Lots * ContractSize * MarketPrice) / Leverage * Margin_Rate
Profit: (close_price-open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_EXCH_STOCKS
Exchange mode – calculation of margin and profit for trading securities on a stock exchange
Margin: Lots * ContractSize * LastPrice * Margin_Rate
Profit: (close_price - open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_EXCH_FUTURES
Futures mode – calculation of margin and profit for trading futures contracts on a stock exchange
Margin: Lots * InitialMargin * Margin_Rate or Lots * MaintenanceMargin * Margin_Rate
Profit: (close_price - open_price) * Lots * TickPrice / TickSize
SYMBOL_CALC_MODE_EXCH_FUTURES_FORTS
FORTS Futures mode – calculation of margin and profit for trading futures contracts on FORTS. The margin may be reduced by the amount of MarginDiscount deviation according to the following rules:
1. If the price of a long position (buy order) is less than the estimated price, MarginDiscount = Lots*((PriceSettle-PriceOrder)*TickPrice/TickSize)
2. If the price of a short position (sell order) exceeds the estimated price, MarginDiscount = Lots*((PriceOrder-PriceSettle)*TickPrice/TickSize)
where:
- PriceSettle – estimated (clearing) price of the previous session;
- PriceOrder – average weighted position price or open price set in the order (request);
- TickPrice – tick price (cost of the price change by one point)
- TickSize – tick size (minimum price change step)
Margin: Lots * InitialMargin * Margin_Rate or Lots * MaintenanceMargin * Margin_Rate * Margin_Rate
Profit: (close_price - open_price) * Lots * TickPrice / TickSize
SYMBOL_CALC_MODE_EXCH_BONDS
Exchange Bonds mode – calculation of margin and profit for trading bonds on a stock exchange
Margin: Lots * ContractSize * FaceValue * open_price * /100
Profit: Lots * close_price * FaceValue * Contract_Size + AccruedInterest * Lots * ContractSize
SYMBOL_CALC_MODE_EXCH_STOCKS_MOEX
Exchange MOEX Stocks mode – calculation of margin and profit for trading securities on MOEX
Margin: Lots * ContractSize * LastPrice * Margin_Rate
Profit: (close_price - open_price) * Contract_Size * Lots
SYMBOL_CALC_MODE_EXCH_BONDS_MOEX
Exchange MOEX Bonds mode – calculation of margin and profit for trading bonds on MOEX
Margin: Lots * ContractSize * FaceValue * open_price * /100
Profit: Lots * close_price * FaceValue * Contract_Size + AccruedInterest * Lots * ContractSize
SYMBOL_CALC_MODE_SERV_COLLATERAL
Collateral mode - a symbol is used as a non-tradable asset on a trading account. The market value of an open position is calculated based on the volume, current market price, contract size and liquidity ratio. The value is included into Assets, which are added to Equity. Open positions of such symbols increase the Free Margin amount and are used as additional margin (collateral) for open positions of tradable instruments.
Margin: no
Profit: no
Market Value: Lots*ContractSize*MarketPrice*LiqudityRate

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Hi guys,
need an advise.
I use tickvalue for calculating lot size.
Sometimes that piece of code returns zero:
I'm using tickValue to calculate Stopp Loss pips risked:
Any idea why tickVal sometimes is empty? Same with SYMBOL_TRADE_TICK_VALUE_LOSS.
regards, Lukas