Handy514

Overview

This is a multi-strategy trading robot compatible with  netting mode. It combines technical indicators to generate trade signals and features a real-time dashboard for monitoring.

Core Features

  1. Signal Integration System:

    • Primary and secondary signal selection from 4 strategies:

      • ATR Volatility Breakout

      • Fibonacci Retracement

      • Moving Average Crossover

      • RSI Divergence

    • Trade execution requires primary + secondary signal confirmation

  2. Risk Management:

    • Percentage-based risk per trade (1% default)

    • Daily trade limit (5 trades/day default)

    • Spread filter (rejects trades >5 pips spread)

    • Margin requirement checks

    • Stop Loss options: Fixed pips or ATR-based

  3. Netting Mode Compatibility:

    • Prevents multiple positions on same symbol

    • Position check before new trades

  4. Dashboard System:

    • Real-time signal monitoring

    • Trade permission status

    • Daily trade counter

    • Risk parameter display

Key Components

  • Signal Generation
  • Position Sizing
  • Trade Execution Flow

    1. Dashboard Elements:

      • Signal status (color-coded)

      • Buy/Sell enable status

      • Trades today counter

      • Risk percentage display

      • SL/TP settings

    Input Parameters

    Group Parameter Description
    Trade Settings EnableBuyTrades Allow long positions
    RiskPercent Risk per trade (%)
    MaxTradesPerDay Daily trade limit
    Signal Parameters PrimarySignal Main strategy selection
    ATR_Period Volatility period
    FibRetraceLevel Retracement % level
    Dashboard ShowDashboard Toggle visibility
    PanelColor Background color

    Advantages

    1. Flexible Strategy Configuration: Combine any 2 of 4 signals

    2. Visual Monitoring: Dashboard with real-time updates

    3. Robust Risk Controls: Multiple safety layers

    4. Adaptable Stop Loss: Fixed pips or volatility-based

    Limitations

    1. Requires 100+ bars of historical data

    2. Minimum lot size constraint may block small trades

    3. Netting mode prevents hedging strategies


    Optimal Market Conditions

    Condition Instrument Timeframe
    Trending EURUSD, XAUUSD H1
    Breakout GBPJPY, BTCUSD M30
    Range-bound USDCAD, S&P500 H4

    Performance Tips

    1. Backtest Period:

      • 2015-2024 (Includes various market regimes)

    2. Walk-Forward Analysis:
      Re-optimize parameters quarterly:

      • January (Q1 volatility)

      • April (Q2 trends)

      • July (H1 review)

      • October (Year-end patterns)

    1. Critical Metrics to Monitor:

      • Profit Factor > 1.5

      • Drawdown < 15%

      • Win Rate > 55%

      • Sharpe Ratio > 1.0

    Risk Management Protocol

    1. Daily Loss Limit: 5% account balance

    2. Weekly Drawdown Cap: 15%

    3. Monthly Performance Stop: -20% (pause trading)

    4. Correlation Filter: Max 2 similar positions (by asset class)

    Pro Tip: Combine with portfolio-level risk management. This EA should not exceed 30% of total trading capital.

    This configuration prioritizes trend-following with MA Cross as the core strategy, filtered by RSI divergences to avoid false entries. The ATR-based stop-loss adapts to volatility, making it suitable for both calm and volatile markets.

    This EA provides a systematic approach to trading with multiple confirmation signals and comprehensive risk management, suitable for both novice and experienced traders in netting account environments.
                                                                             
                                                                       !!!  HAPPY  PROFIT TRADING !!!



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