MultipleSymbolsTurtleStrategy

MultipleSymbolsTurtleStrategy description

this is  a trend following strategy, no grid,no martingale

Entry conditions:

1,If there is no position and the previous breakthrough fails to exit, the price breaks through the short-term period (20) Donchian channel upper and lower bands entry

2, If there is no position and the price breaks through the long-term period (55) Donchian channel upper and lower bands entry

Addition conditions:

1,The interval ATR*AddCoef ficient is to increase the position once, and the stop loss is moved forward by 2*ATR.

2,The maximum position does not exceed MaxPositions

Exit conditions:

1,defult stop loss:2*ATR stop loss after entering the market

2,trailing stop1:The price breaks through the 10-period  Donchian Channel and exits

3,trailing stop2:Price retracement N*ATR exit

Recommended  Period:D1

Recommended Symbols:GBPUSD|USDJPY|GBPJPY|XAUUSD

Parameter Description

- Trade Symbols        = "GBPUSD|USDJPY|GBPJPY|XAUUSD";     

- TimeFrame            = PERIOD_D1;                       

- MagicNumber          = 15888093182;                     

- Comment                 = "Turtle";                      

- RiskRatio                 = 1;                                // risk percent of  account      

- isAddition                 = false;                            // isMultiplePositions

- AdditionCoefficient  = 0.5;                              

- MaxPositions            = 4;                                

- isBreakFailFilter       = true ;

- DonchianFastPeriod  = 20;                              

- DonchianSlowPeriod  = 55;                               

- DonchianExitPeriod   = 10;                             

- isATRTrailingStop      = true;                           

- AtrMultiplier            = 2;       

  



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Single-Symbol Turtle Strategy (Medium-to-Long Term Version 1.00) Recommended Timeframe: H4 Recommended Instruments: GBPUSD | GBPJPY | USDJPY | XAUUSD | XTIUSD | CADJPY | GBPCAD | USTEC | BTCUSD | HK50 | DE40 | JP225 Strategy Overview Entry: Breakout of the long-period Donchian Channel (default: 55 periods). Position Sizing: Percentage-based stop loss to determine position size (default: 1% risk per trade). Exit: Reverse breakout of the short-period Donchian Channel (default: 10 periods). I
-Strategy description: Breakthrough system based on Bolling channel -System elements :1, based on the closing price calculation of the Bolling channel; 2, based on the closing price calculation of the approach filter; 3, adaptive exit average -Admission conditions :1, meet the filter conditions, and the price of the broken Bollinger channel on the track, open multiple single ;2, meet the filter conditions, and the price of the broken Bollinger channel under the track, open short orders -Exit
AdvancedDualThrust Introduces the policy HH: the highest price of the N-day high, and LC: the lowest price of the N-day close HC: the highest price of the N-day closing price, LL: the lowest price of the N-day low The formula for calculating the oscillation Range is range =Max(HH-LC,HC-LL). - UpLine=Open+k1 * Range; DownLine=Open-k2 * Range; Trading rules: 1, the price breaks through the upper and lower rail to open positions; 2, only trade once a day; 3, reverse break through the upper and
TurtleLongTerm Strategy description this is  a trend following strategy, no grid,no martingale Entry conditions:  If there is no position and the price breaks through the long-term period (55) Donchian channel upper and lower bands entry Addition conditions: 1,The interval ATR*AddCoef ficient is to increase the position once, and the stop loss is moved forward by 2*ATR. 2,The maximum position does not exceed MaxPositions Exit conditions: 1,defult stop loss:2*ATR stop loss after entering the
MT5TurtleV2
Yan Xiong Xue
this is  a trend following strategy, no grid,no m artingale Entry conditions:  -  If there is no position and the price breaks through the long-term period (55) Donchian channel upper and lower bands entry Addition conditions: 1,The interval ATR*AddCoef ficient is to increase the position once, and the stop loss is moved forward by 2*ATR. 2,The maximum position does not exceed MaxPositions Exit conditions: 1,defult stop loss:2*ATR stop loss after entering the market 2,trailing stop1:The price b
1,交易功能:    (1)开仓:仓位计算,止损止盈点数、挂单、批量挂单     (2)顺势加仓,逆势加仓,加仓倍数,加仓间隔    (3)跟踪止损:均线突破、高低点突破、ATR、单品种净值比例回撤、单品种亏损金额、 时间止损    (4)平仓:分批平仓、盈利平仓、亏损平仓    (5)高低点和跟踪止损价格自动划线    (6)批量挂单 2,划线下单:仓位计算、止损止盈计算,挂单类型自动判断 3,统计:持仓统计、历史统计、magic统计、品种统计,盈亏曲线,净利润饼图,亏损饼图 4,账户风控:净值回撤比例报警、净值回撤比例平仓、亏损金额报警、亏损金额平仓,              盈利比例报警,盈利比例平仓、盈利金额报警,盈利金额平仓               时间平仓,持仓单数控制、总持仓量控制,magic平仓
Single-Product Turtle Strategy (Medium-to-Long Term Version 1.02) Recommended Timeframe: H4 Recommended Instruments: GBPUSD | GBPJPY | USDJPY | XAUUSD | XTIUSD | CADJPY | GBPCAD | USTEC | BTCUSD | HK50 | DE40 | JP225 Strategy Overview Entry: Breakout of the long-period Donchian Channel (default: 55 periods). Position Sizing: Percentage-based stop loss to determine position size (default: 1% risk per trade). Exit: Reverse breakout of the short-period Donchian Channel (default: 10 periods).
Moving Average Trading System Strategy Overview This trading system is a trend-following strategy, enabling multi-instrument trading on a single chart. Recommended trading instruments: GBPUSD|GBPJPY|USDJPY|XAUUSD|XAUJPY|BTCUSD|XTIUSD|USTEC Special Note: Trading instrument codes may have suffixes or prefixes on different platforms; please revise them to the corresponding codes of your platform in the parameter list. Chart timeframes to load: D1, H4 Filter the trend with slow-period moving avera
MT5交易风控面板简介 多种方式跟踪止损、批量挂单、划线下单、多种风控设置、账户统计、分类平仓 、日内交易风控 1,手动交易:根据风险比例和止损计算仓位、批量挂、可视化划线下单 2,多种方式跟踪止损:固定点数跟踪、ATR倍数跟踪、MA跟踪、唐奇安通道跟踪 3,多种风控设置:亏损百分比或金额出场、回撤百分比或金额出场、收盘清仓 4,账户统计:净利润饼图(每个盈利品种利润占比)、账户盈亏曲线、账户历史统计 5,平仓:本币平仓和删除挂单、全部清仓和删除挂单,幻数平仓 ------ update ------- <1>新增:当日盈亏比例和金额清仓 <2>新增:当日交易次数和单笔亏损比例平仓 <3>新增:定时清仓和分批平仓功能 <4>修改:平仓功能修改为异步执行模式 <5>修复:幻数历史统计函数修复
PropFirm Challenge Risk Control EA Introduction Close all positions when reaching maximum capital loss percentage/amount Close all positions when reaching daily maximum capital loss percentage/amount Close single orders when reaching single trade maximum loss percentage/amount Filter & close restricted symbols positions during high-impact economic news events(Support optional modes for FTMO / The 5%ers and other prop trading platforms) Liquidate positions upon reaching profit target percentage
-Liquidate at maximum loss percentage & amount of principal -Liquidate at daily maximum loss percentage & amount of principal -Close position at maximum loss percentage & amount per trade -Liquidate filtered during news events (2–5 mins before & after) -Liquidate at target profit percentage & amount (exit level) -Minimum trading days limit ≥ 4 -Liquidate before market close -Liquidate at maximum equity drawdown percentage (1-step) -Close position at specified equity amount -- -Display
MT5 Local Copy Trading EA – Brief Introduction Lot Mode Fixed lots / Lot ratio (multiple of signal account’s lot size) If calculated lot < minimum lot → open with minimum lot If calculated lot > maximum lot → open with maximum lot Normal / Reverse Copying Normal copying: copies all order types (Stop, Limit, StopLimit) Reverse copying: copies only Limit and Stop orders (does not copy Buy Stop Limit / Sell Stop Limit) Reverse copying – SL/TP: Reverse order’s Stop Loss = signal order’s Ta
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