Price Action Stochastic indicator

Price Action Stochastic indicator

1. Utilizing the Stochastic Indicator Signal

This system detects crossover signals from the Stochastic Indicator within specific thresholds and uses the EMA (Exponential Moving Average) as a trend filter to identify high-probability entries:

  • Buy Entry: When Stochastic Main < 20, crosses above the Signal line, and price is above EMA → Enter Buy

  • Sell Entry: When Stochastic Main > 80, crosses below the Signal line, and price is below EMA → Enter Sell

2. Signal Filters for Enhanced Accuracy
  • EMA Filter: Only enter Buy when price is above EMA / Sell when price is below EMA

  • ADX Filter: Avoid trades in non-trending markets (no entries if ADX < 10)

  • Spread Control: Prevent entries when spread is too high

  • Price Distance from EMA: Avoid trades if price is too far from EMA to reduce volatility risk

 Core Features of the EA
  1. Customizable Timeframes: Supports M1–H4 with adjustable filter parameters

  2. Risk Management System: Lot size based on equity, Max Drawdown settings

  3. Adjustable SL & TP: Support for Risk-Reward ratios like 1:2, 1:3, or user-defined

  4. Trailing Stop System: Lock in profits as price moves in favorable direction

  5. 24/7 Automation: Enables consistent passive income generation

Recommended Usage of Stochastic EA
  • Platform: MetaTrader 4/5 (MT5 recommended)

  • Timeframe: M30 (30 minutes), 6 set files avilable for M1, M5, M15, M30, H1 and H4

  • Currency Pair: XAUUSD (Gold vs. USD)

  • Minimum Capital: Atleast $100 (>$1,000 recommended for optimal performance)

  • Broker: Trusted broker with low spread

     Limitations:

    • Low-frequency entries (capital preservation focus)

     EA Parameter Overview

    Core Strategy

    • TimeFrame = 30M

    • EMA_Period = 319

    • STO_Precent_K = 16

    • STO_Score_Buy = 22

    • STO_Score_Sell = 100

    Signal Filters

    • Spread = 40

    • ADX_Period = 44

    • ADX_Score = 12

    • Distance_near_EMA = 5800

    • Distance_far_EMA = 0

    Risk Management

    • Lot_Devided = 200,000

    • SL = 2130 pips / TP = 2690 pips

    • Trailing Stop = 1290 pips, Step = 700, Start = 980

    Advanced Options

    • On_Recovery = false

    • Consecutive_losses = 2

    • Recovery_Lot = 2.0

     Example of Lot Calculation Based on Capital
    • Capital $10,000 → 10,000 / 200,000 = 0.05 Lots

    • Capital $1,000 → 1,000 / 100,000 = 0.01 Lots

    • Capital $100 → 100 / 200,000 = 0.01 Lots (rounded up)

     Professional, algorithmic trading powered by precise signal filtering and adaptive risk control.

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