An automated trading robot (for forex, cryptocurrencies)

Job finished

Execution time 14 hours

Specification

It decides to open and close positions based on an indicator in tradingview, contact me and I will tell you the indicator.

I would like a situation where once I have the robot configured and activated.

For example, if the time period is selected as 1 hour, when it turns green, it indicates that the current structure is bullish, buy the initial call position, and then depending on the distance of the additions decide whether or not to continue to buy the call position; when it turns red, it indicates that the current structure is bearish, sell all the call positions and buy the initial put position, and then depending on the distance of the additions decide whether or not to continue to buy the put position; when it turns green, it indicates that the the current structure is bullish, sell all bearish positions and buy the initial bullish position, then decide whether to continue to buy the bullish position based on the distance of the raise, and so on.

Parameters should include:

* Name (0xdhrc3r robot, need to be set manually)

* Initial lot size (default 0.01, range 0.01-1, need to be set manually)

* Time period (1 minute, 3 minutes, 5 minutes, 15 minutes, 1 hour, 4 hours, 1 day, 1 week)

* Add distance (each time the price retraces (x) pips, a new position is opened in the opposite direction to the trend, needs to be set manually)

* Total Lots (the maximum number of lots allowed for all already bought trades added together, default is 0.01, ranges from 0.01 to 20, needs to be set manually)

* Maximum number of transactions (this is the variety of transactions allowed to open the number of positions, the maximum number of open trades set between 1 and 50, beyond this value will no longer open a single, need to be set manually)

* Spread filter (default 0.1 points, range 0.1-50, beyond the spread will not open orders, you need to set manually)

* Switch (when closed, no longer open new positions; all positions that have been traded to retain, until the trading position touches the stop loss or stop win,)

* Retracement Stop Loss (based on the time zone UTC+2, start time daily maximum loss 00:00:01 start calculating, end time daily maximum loss 23:59:59 end, the day of the percentage value of the account balance. For example, the principal 10000, retracement 4%, then the account net value of the day can not be less than 9400, less than 9400, all positions closed, and the end of the day

No new trades will be opened before the end of the day until the start of the next day. (Account Equity = Balance + Floating Net P&L))

* :: Send the results of each trade at the end of the trade to the designated telegram account

Responded

1
Developer 1
Rating
(42)
Projects
87
7%
Arbitration
18
6% / 67%
Overdue
5
6%
Busy
2
Developer 2
Rating
(206)
Projects
333
35%
Arbitration
66
12% / 58%
Overdue
87
26%
Free
Similar orders
如果你还在用程序员码出来的定时脚本?那叫“机械化条件触发”,遇到黑天鹅,单边行情,止损线就是爆仓线。而我跑的是具备在线学习能力的神经网络EA——它的AI大脑同时接入路透/彭博新闻流、非农/CPI预期矩阵及各大全球新闻面、以及Tick级盘口异动,三个策略(动量感知、均值回归、波动率)实时优胜劣汰。关键区别在于:普通脚本是“人教机器”,而它是“机器自学”。所以它能在200多天24小时实盘里,月化稳定30%+,且连续三日最大浮亏从没超过5%。全天24小时到达开仓进场每一单都严格执行止盈止损,无马丁,无网格,不抗单,因为AI 神经网络EA 不吃恐慌,只认贝叶斯后验概率。想看真东西的,可免费测试,可观摩,QQ群1102785676, 找群主拿, 微信naccy5201314,
系统三大核心板块QQ1640079810 (一)决策层:AI 三层共振信号过滤 传统量化参数固化、依赖人工,行情切换易失效;AI 量化多维实时运算、动态调参,理性执行风控。 AI 与 EA 分工 AI(决策端):全天候监测宏观、资金、技术数据,三重共振校验信号,实时调整 EA 参数; EA(执行端):毫秒级自动下单,7×24 小时无人运行,严格执行止盈止损,杜绝情绪化扛单、重仓。 三层共振校验(缺一不可) 宏观面:地缘、经济数据、政策流向; 资金面:机构大单、成交量异动; 技术面:均线、支撑阻力、波动率确认。 仅三层同步出现有效信号,系统才允许开仓。 (二)执行层:动态三策略自动切换 AI 实时识别行情,匹配对应交易模型,市场 80% 时段无优质机会,自动空仓避险: 网格策略(震荡行情,16% 时间) 区间分批低买高卖,抓取小额波动价差,单日多笔成交;仓位手数硬性限制,单边行情自动切换策略防套单。 趋势突破(单边行情,4%
市面上99%普通人接触的量化EA、网格、马丁策略,本质只是程序化脚本。依靠固定参数机械执行,逻辑无法自主变化,不存在自我学习能力,也无法解读基本面消息。 而真正的专业量化体系,是一套完整的硬核工程: ✅机器学习、神经网络动态迭代策略模型 ✅全网实时财经爬虫+舆情语义分析 ✅Tick级订单簿解构,捕捉真实资金意图 ✅机房托管服务器、超低延迟网络支撑 ✅量化、算法、数据、风控全职团队协同 普通人仅凭个人很难触及真正的专业量化门槛,缺少算力、一手数据源与研发团队,能够落地使用的大多只是简易自动化交易脚本。 如果你想要布局这个级别的量化方案,欢迎联系我沟通。
Strategy Highlights: • 14 Months Verified Live Performance (Cent Account architecture for micro-granular risk control). • 500,000+ total executions logged (1,000+ daily high-frequency execution rate). • Strict Risk Management: Max Drawdown strictly capped under 25%. • Verified via Vantage Official Copy Trading & Live MT5 Read-Only Investor Access. What We Need: We are looking for experienced MQL5 community members

Project information

Budget
100 USD
Deadline
from 1 to 2 day(s)