Specification
I need an ea that work in 2 correlated pairs.The goal of the ea is open as much lot as possible without too risky and with a manager drawdown. The ea must Open opposite positions on two correlated pairs, then add additional lots to recover the drawdown while maintaining strict control over risk.
-Use real-time correlation between the two pairs to dynamically adjust lots and recover the drawdown. Find a way to close the positions in profit or break even and adjust in the other pair the drawdown , for example in the night in the asian session with low volatility
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I've created code based on my observations after years of watching charts, and I'm trying to develop code that can operate according to this strategy. I've already created the code, but I can't resolve some operational issues. I'm looking for someone who can complete the project, implement and improve it, code it, and test it so it's ready for use. Someone who can work on the existing code and take it to the next
Project information
Budget
40 - 140 USD
Deadline
to 10 day(s)