Job: Fix Futures Risk Management in Existing MT5 EA (AMP Futures)

MQL5 Indicators Experts

Job finished

Execution time 27 days

Specification


I have an existing MQL5 Expert Advisor. The entry logic works. I need the risk management modified to work correctly for Futures (AMP / CME).

Broker: AMP Futures
Platform: MT5
Symbols: MNQ, MES (must work for any futures contract)

Required Changes

  1. Contract-Based Position Sizing

  • Replace lot sizing with contract sizing

  • Input: Risk per trade ($) and Stop Loss (ticks)

  • Formula:

Contracts = Risk $ / (StopTicks × TickValue)

  • Use:

SYMBOL_TRADE_TICK_VALUE SYMBOL_TRADE_TICK_SIZE SYMBOL_VOLUME_MIN SYMBOL_VOLUME_STEP

  1. Tick-Based SL and TP

  • Inputs:

    • StopLossTicks

    • TakeProfitTicks

  • SL/TP must be calculated using tick size (not pips/points)

  • Must work for both Buy and Sell


  1. Daily Risk Limits
    Inputs:

  • Daily Max Loss ($)

  • Daily Profit Target ($)

Behavior:

  • If daily loss reached → close all trades and stop trading for the day

  • If daily profit reached → close all trades and stop trading for the day

  • Reset next trading day


  1. One Position Per Symbol

  • No multiple entries/pyramiding

  • If opposite signal comes → close current position first


  1. Execution Compatibility

  • Ensure valid contract size

  • No invalid stops errors

  • Works properly with AMP futures execution


No changes needed to:

  • Entry signals

  • Indicators

  • Strategy logic


Deliverables

  • Updated MQ5 files

  • Clean compile

  • Short explanation of changes


Please confirm:

  • Experience with Futures on MT5

  • Fixed price

  • Delivery time


Files:

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Project information

Budget
30+ USD
Deadline
to 1 day(s)