Manage the risk

2020.05.04 Indicators Experts

Specification

I use an indicator in MT4 or MT5 for inputs in binary operations. The code has options for the amount of the down payment, as well as

Martingale strategy with number of steps and multiplication factor. These entries are selected for the binary options broker via

MT2trading. You want to change the risk management strategy to the SOROSGALE strategy to reduce how to decrease. On the Internet

there are several articles explaining how the strategy works. The ideal would be to modify the MT2trading indicator. The evaluation of the

best way is the programmer. Below is an image of the indicator configuration.



The indicator is based on Bollinger bands. But I need to modify or manage the risk. So, it would be twice options:

1º - Modify the risk management of the existing indicator; or

2nd - Create a new indicator or EA based on bollinger bands that make entries according to the SOROSGALE strategy. The details of the strategy follow below:



To help understand the strategy, it will be like this

stoploss = 100.00



input 1 = 7.67% errors



LEVEL 1.1 3.83% no longer loses

LEVEL 1.2 6.89% errors



LEVEL 2.1 5.75% stoploss

LEVEL 2.2 10.35% do not lose more



LEVEL 3.1 14.38% wastes no time

LEVEL 3.2 25.88% no longer lose



LEVEL 4.1 24.44%

LEVEL 4.2 43.99% errors



LEVEL 5.1 43.75% stoploss

LEVEL 5.2 78.93% no longer lose





(If you're right

entry 1

if wrong

entry level 1.1)



if right

entry 1.2

If you're right, return an entry 1

if wrong

entry level 2.1



if right

entry 2.2

If you're right, return an entry 1

if wrong

entry level 3.1



if right

entry 3.2

If you're right, return an entry 1

if wrong

entry level 4.1



if right

entry 4.2

If you're right, return an entry 1

if wrong

entry level 5.1



if right

input 5.2

If you're right, return an entry 1

if wrong

return entry 1
Job has been deleted

Project information

Budget
30 - 100 USD
For the developer
27 - 90 USD