Specification
Multi-Asset EA (XAUUSD / FRA40) with Time Filters, High-Impact News Avoidance, Advanced Risk/Lot Sizing, and H1 Breakout Strategy
1. RISK SETTINGS
* Max Daily Loss Limit: (bool) Toggle true/false. If true, input double for max loss in currency (e.g., $500). If hit, close all positions and stop trading until next day.
* Lot Sizing Mode: Dropdown menu: 1. Fixed Lots (e.g. 0.10); 2. Percentage Risk (%) based on Account Balance/Equity, calculated using the 400 pips Stop Loss.
* Stop Loss (SL): Fixed at 400 pips. Note for XAUUSD: 400 pips must equal exactly a $4.00 USD price movement (e.g., 2640.00 to 2636.00). Handle 2/3 decimals dynamically. Note for FRA40: Standard index specifications.
* Breakeven: Trigger at 250-300 pips profit (configurable). Move SL to exact entry price.
2. TIME & ASSET FILTERS (Server Time)
* Asset 1: XAUUSD -> Trade Mon-Fri from 16:00 to 22:00. No new orders outside.
* Asset 2: FRA40 / CAC40 -> Trade Mon-Fri from 09:00 to 15:00. No new orders outside.
3. STRATEGY (H1 Breakout)
* H1 Timeframe. Fetch Daily High and Daily Low of current day.
* Buy Logic: Place Buy Stop at Daily High.
* Sell Logic: Place Sell Stop at Daily Low.
* If a trade triggers, handle/cancel opposite pending according to standard hedging rules. Delete unfilled pending orders when trading window closes.
4. ECONOMIC CALENDAR FILTER
* Use native MT5 Economic Calendar (CalendarValueHistory).
* Filter: CALENDAR_IMPORTANCE_HIGH. Currencies: USD (for XAUUSD) and EUR (for FRA40).
* Input variables: MinutesBeforeNews (e.g., 30) and MinutesAfterNews (e.g., 30).
* Action: During this window, do not open new trades and delete unfilled pending Buy/Sell Stops. Existing open trades remain open.
DELIVERABLES:
1. Clean source code (.mq5) and compiled file (.ex5).
2. Correct handling of pips/points for XAUUSD ($4.00 = 400 pips) and FRA40 indices.
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