Scout Alpha

Spread Arbitrage Line คืออะไร

อินดิเคเตอร์ตัวนี้เป็นเครื่องมือสำหรับดู ส่วนต่างราคา (Spread) ระหว่าง

  • สินทรัพย์ที่เปิดกราฟอยู่
    กับ

  • สินทรัพย์อีกตัวที่เราเลือก

พูดง่าย ๆ คือช่วยให้เห็นว่า
ตอนนี้ราคาของ 2 สินทรัพย์ “ห่างกันมากหรือน้อย” กว่าปกติหรือไม่

เหมาะกับคนที่ดูคู่สัมพันธ์ของราคา เช่น

  • Pair Trading

  • Spread Trading

  • Arbitrage แนวสถิติ

  • การหาจังหวะที่ราคาสองตัวเบี่ยงออกจากกันมากเกินไป

อินดิเคเตอร์นี้ดูอะไรได้บ้าง

ตัวอินดิเคเตอร์จะมี 3 ส่วนหลัก

1) เส้น Spread

เป็นเส้นหลักของอินดิเคเตอร์
แสดงค่าความต่างของราคาสองสินทรัพย์

ถ้าเส้นขึ้นสูง
แปลว่า spread กว้างขึ้น

ถ้าเส้นลงต่ำ
แปลว่า spread แคบลง

2) เส้นช่วยตัดสินใจ

มีเส้นสำคัญที่ใช้ดูจังหวะ

Open Level

เป็นระดับที่ใช้มองว่า
spread กว้างพอสำหรับเริ่มเปิดแผนเทรดหรือยัง

Close Level

เป็นระดับที่ใช้มองว่า
spread กลับเข้ามาแล้วหรือยัง เหมาะสำหรับปิดแผน

Bollinger Band

ช่วยบอกว่า spread ตอนนี้อยู่

  • ใกล้ค่าเฉลี่ย

  • สูงเกินปกติ

  • ต่ำเกินปกติ

เหมาะสำหรับคนที่ใช้แนวคิด mean reversion
คือรอให้ spread เบี่ยงออกไปก่อน แล้วคาดหวังให้กลับเข้าหาค่าเฉลี่ย

Level Lines

เป็นเส้นแนวนอนเพิ่มเติม
ไว้กำหนดโซนสำคัญตามสไตล์ของผู้ใช้เอง

เช่น

  • โซนเบา

  • โซนเริ่มน่าสนใจ

  • โซนเข้ม

  • โซนเสี่ยงสูง

3) กล่องข้อมูลด้านขวา

ช่วยสรุปข้อมูลสำคัญแบบดูเร็ว

เช่น

  • spread ตอนนี้อยู่ที่เท่าไร

  • ค่าเฉลี่ย spread

  • ความผันผวนของ spread

  • spread ตอนนี้อยู่สูงหรือต่ำกว่าปกติมากแค่ไหน

  • ความสัมพันธ์ของสินทรัพย์ 2 ตัว

  • ค่า ATR ของแต่ละตัว

  • ค่าสวอป

  • ต้นทุนโดยประมาณต่อวัน

จุดนี้มีประโยชน์มาก เพราะช่วยให้ไม่ดูแค่ “กราฟสวย” แต่ดูเรื่อง ต้นทุนจริงของการถือ pair ด้วย

ใช้งานยังไงแบบง่าย ๆ

ขั้นตอนที่ 1 เปิดกราฟสินทรัพย์หลัก

เช่นเปิดกราฟ

  • XAUUSD

  • EURUSD

  • US30

  • BTCUSD

ตัวที่เปิดกราฟอยู่จะเป็น ตัวหลัก

ขั้นตอนที่ 2 เลือกสินทรัพย์ตัวที่ 2

ที่แผงด้านซ้ายจะมีช่องให้เลือก Symbol

สามารถเลือกได้ 2 แบบ

  • กดปุ่มซ้าย/ขวา เพื่อเลื่อนไปทีละตัว

  • กด dropdown เพื่อเลือกจากรายการ Market Watch

เมื่อเลือกแล้ว อินดิเคเตอร์จะคำนวณ spread ใหม่ทันที

ขั้นตอนที่ 3 ดูเส้น Spread เทียบกับระดับต่าง ๆ

หลักการใช้งานแบบง่ายคือ

  • ถ้า spread ยังอยู่ใกล้ค่าเฉลี่ยมาก → ยังไม่ค่อยมีระยะ

  • ถ้า spread ขยายออกไปไกล → เริ่มน่าสนใจ

  • ถ้า spread กลับเข้ามา → เป็นจังหวะปิดแผนได้

ปุ่มต่าง ๆ ใช้ทำอะไร

Pair

ใช้เลือกสินทรัพย์ตัวที่ 2 ที่จะเอามาเทียบกับกราฟหลัก

Open/Close ON-OFF

เปิดหรือปิดการแสดงเส้น

  • Open Level

  • Close Level

เหมาะสำหรับคนที่อยากดูเฉพาะ spread อย่างเดียว หรืออยากดูพร้อมระดับตัดสินใจ

BB Band ON-OFF

เปิดหรือปิด Bollinger Band ของ spread

ถ้าเปิด จะช่วยเห็นว่า spread กำลังอยู่ในโซนปกติหรือเริ่มสุดขอบ

Levels ON-OFF

เปิดหรือปิดเส้นระดับเพิ่มเติมที่ตั้งไว้

เหมาะกับคนที่ชอบแบ่งโซนการตัดสินใจหลายชั้น

ข้อมูลในกล่องด้านขวาหมายถึงอะไร

SPREAD STATISTICS

เป็นสถิติพื้นฐานของ spread

Current

ค่า spread ปัจจุบัน

Mean

ค่าเฉลี่ยของ spread ในช่วงที่คำนวณ

SD

ระดับการกระจายตัวของ spread
ยิ่งมาก แปลว่า spread แกว่งกว้าง

%Rank

บอกว่า spread ตอนนี้อยู่ในระดับสูงหรือต่ำเมื่อเทียบกับอดีต

ตัวอย่าง:

  • %Rank สูงมาก = spread อยู่โซนสูงเมื่อเทียบกับอดีต

  • %Rank ต่ำมาก = spread อยู่โซนต่ำ

Min / Max

จุดต่ำสุดและสูงสุดของ spread ในช่วงที่ใช้วิเคราะห์

ZONE / TIMING

เป็นส่วนช่วยดูจังหวะ

Z-Score

บอกว่า spread ตอนนี้ห่างจากค่าเฉลี่ยมากแค่ไหน

ยิ่งค่าเยอะ
ยิ่งแปลว่า spread เบี่ยงออกจากภาวะปกติมาก

BB %B

บอกตำแหน่ง spread ภายใน Bollinger Band

  • ใกล้กลาง = ปกติ

  • ใกล้ขอบ = เริ่มตึง

  • เกินขอบ = เบี่ยงมาก

Velocity

ความเร็วของ spread ในช่วงล่าสุด
ช่วยดูว่า spread กำลังเร่งตัวหรือเริ่มชะลอ

MR Duration

ค่าเฉลี่ยคร่าว ๆ ว่า spread ใช้เวลากี่แท่งในการกลับเข้าหาค่าเฉลี่ย

Correlation

ดูว่าราคาของสองสินทรัพย์สัมพันธ์กันมากแค่ไหน

ถ้าค่าสูง
มักเหมาะกับการจับ spread มากกว่า

Session

บอกช่วงตลาดปัจจุบัน เช่น Asia / London / New York
ช่วยให้รู้ว่าตอนนี้อยู่ในช่วงตลาดไหน

SYMBOL 1 / SYMBOL 2

เป็นข้อมูลของสินทรัพย์ทั้งสองฝั่ง

มีข้อมูลเช่น

  • Bid

  • Ask

  • Broker Spread

  • ATR

  • Swap Long

  • Swap Short

ช่วยให้ลูกค้าดูได้ว่าแต่ละตัว

  • สเปรดโบรกเกอร์กว้างไหม

  • ผันผวนแค่ไหน

  • ถือข้ามวันต้นทุนดีหรือไม่ดี

DAILY COST

ส่วนนี้สำคัญมากสำหรับสาย pair trade

Spread Cost

ต้นทุนจาก bid/ask ของทั้งสองฝั่งรวมกัน

Swap/Day

ต้นทุนหรือผลตอบแทนจากการถือข้ามวัน

Commission

ค่าคอมมิชชั่นรวมของคู่เทรด

TOTAL/Day

ต้นทุนรวมต่อวันโดยประมาณต่อ 1 lot pair

ส่วนนี้ช่วยให้ลูกค้ารู้ว่า
แม้ spread ดูสวย แต่ถ้าต้นทุนถือแพงเกิน ก็อาจไม่คุ้ม

ใช้อ่านสัญญาณแบบง่ายอย่างไร

แนวคิดง่าย ๆ สำหรับลูกค้า

กรณีที่ 1: Spread ขยายออกไปมาก

ถ้าเส้น spread วิ่งออกห่างจากค่าเฉลี่ยมาก
และไปอยู่ใกล้หรือเกิน BB ด้านบน/ล่าง

อาจตีความว่า

  • spread เริ่มเบี่ยงออกมากผิดปกติ

  • มีโอกาสกลับเข้า mean ได้ในอนาคต

เหมาะกับคนที่ใช้แนว mean reversion

กรณีที่ 2: Spread กลับเข้ามาใกล้ค่าเฉลี่ย

ถ้า spread เริ่มย่อกลับเข้ามา
อาจใช้เป็นโซนพิจารณาปิดแผน

กรณีที่ 3: Correlation ต่ำเกินไป

ถ้าสินทรัพย์สองตัวไม่ค่อยสัมพันธ์กัน
spread ที่เห็นอาจไม่นิ่งและตีความยาก

ดังนั้นคู่ที่ correlation สูงกว่ามักใช้งานได้เป็นธรรมชาติกว่า

กรณีที่ 4: ต้นทุนต่อวันสูง

แม้ spread จะดูดี
แต่ถ้า total/day สูงมาก

แปลว่า

  • ถือต่อมีภาระ

  • กลยุทธ์ต้องการการกลับตัวเร็วขึ้น

  • ถ้ากลับช้า อาจโดนต้นทุนกินกำไร

เหมาะกับใคร

อินดิเคเตอร์นี้เหมาะกับ

  • คนที่เทรดคู่สัมพันธ์ของราคา

  • คนที่ชอบหา spread ที่เบี่ยงจากค่าเฉลี่ย

  • คนที่ต้องการดูทั้ง “สัญญาณ” และ “ต้นทุน”

  • คนที่ต้องการเปรียบเทียบสินทรัพย์ 2 ตัวแบบรวดเร็วบนหน้าจอเดียว

จุดเด่นที่ลูกค้าควรรู้
  • เลือกคู่เทียบได้จากหน้าจอทันที

  • เห็น spread แบบเรียลไทม์

  • มีเส้น open / close ช่วยตัดสินใจ

  • มี Bollinger Band ช่วยดูความสุดโต่งของ spread

  • มีข้อมูล correlation, ATR, swap, cost ครบ

  • เหมาะกับการคัดคู่และวางแผน pair trading

ข้อควรเข้าใจ

อินดิเคเตอร์นี้ ไม่ใช่ระบบส่งคำสั่งอัตโนมัติ
แต่เป็นเครื่องมือช่วยวิเคราะห์

ดังนั้นลูกค้าควรใช้ร่วมกับ

  • แผนการเข้าออกที่ชัดเจน

  • การบริหาร lot

  • การดูต้นทุนจริงของโบรกเกอร์

  • การเลือกคู่ที่มีความสัมพันธ์เหมาะสม

What is Spread Arbitrage Line?

Spread Arbitrage Line is an indicator designed to display the price difference (spread) between:

  • the symbol on your current chart
    and
  • another symbol that you choose

In simple terms, it helps you see whether the relationship between two instruments is currently:

  • wider than usual
  • narrower than usual
  • returning back toward normal levels

This makes it useful for traders who work with:

  • Pair Trading
  • Spread Trading
  • Statistical Arbitrage
  • Mean Reversion setups
What does this indicator show?

The indicator has 3 main parts:

1) The Spread Line

This is the main line of the indicator.

It plots the difference between the current chart symbol and the second selected symbol.

When the line rises, it means the spread is expanding.
When the line falls, it means the spread is narrowing.

This helps traders quickly see when two instruments are moving away from each other or coming back together.

2) Decision Support Levels

The indicator also includes important reference lines to help with trade planning.

Open Level

This is the level used to identify when the spread has moved far enough to consider opening a spread or pair trade setup.

Close Level

This is the level used to identify when the spread has reverted enough to consider closing the setup.

Bollinger Bands

The Bollinger Bands help show whether the spread is:

  • near its normal range
  • stretched higher than usual
  • stretched lower than usual

This is especially useful for traders using a mean reversion approach, where the idea is to wait for the spread to move away from normal and then look for it to return.

Custom Level Lines

These are additional horizontal levels that can be used as personal reference zones.

For example, they can help define:

  • mild deviation
  • moderate deviation
  • strong deviation
  • extreme zones

3) The Information Panel

On the right side, the indicator displays a full information panel with key trading statistics.

This includes:

  • current spread value
  • average spread
  • spread volatility
  • how far the current spread is from its usual range
  • correlation between the two symbols
  • ATR of both symbols
  • swap values
  • estimated daily holding cost

This is very helpful because it allows the trader to evaluate not only the setup itself, but also the real cost of holding the pair.

How to use it

Step 1: Open the main chart

Open the chart of the instrument you want to use as the main symbol.

Examples:

  • XAUUSD
  • EURUSD
  • BTCUSD
  • US30

The chart you open becomes Symbol 1.

Step 2: Choose the second symbol

On the left control panel, you can choose another symbol to compare against.

You can do this by:

  • clicking the left/right buttons
    or
  • opening the dropdown list and selecting from Market Watch

Once selected, the indicator recalculates the spread automatically.

Step 3: Watch the spread relative to the levels

The basic idea is simple:

  • if the spread is near its average, there may be less opportunity
  • if the spread moves far away from normal, it may become interesting
  • if the spread starts returning, it may be a possible exit zone
What do the buttons do?

Pair

This allows you to select the second symbol used for comparison.

Open/Close ON-OFF

This turns the Open Level and Close Level lines on or off.

Useful for traders who either want:

  • a clean spread-only view
    or
  • full entry/exit guidance on the chart

BB Band ON-OFF

This turns Bollinger Bands on or off.

When enabled, it helps show whether the spread is inside its normal range or moving into an extreme zone.

Levels ON-OFF

This turns the custom reference levels on or off.

Useful for traders who want multiple decision zones on the indicator.

What does the information panel mean?

SPREAD STATISTICS

This section shows the main statistics of the spread.

Current

The current spread value.

Mean

The average spread over the calculation period.

SD

The standard deviation of the spread.

A higher value means the spread has been moving more widely.

%Rank

This shows where the current spread stands compared to its historical range.

For example:

  • a high %Rank means the spread is relatively high versus recent history
  • a low %Rank means the spread is relatively low

Min / Max

The lowest and highest spread values within the selected lookback period.

ZONE / TIMING

This section helps evaluate timing.

Z-Score

Shows how far the current spread is from its average.

The larger the absolute value, the more unusual the spread currently is.

BB %B

Shows where the current spread sits inside the Bollinger Band structure.

  • near the middle = normal
  • near the edge = stretched
  • beyond the band = extreme

Velocity

Shows how fast the spread is moving over recent bars.

This helps identify whether the spread is accelerating or slowing down.

MR Duration

This is an estimate of how many bars the spread usually takes to revert around its mean.

Correlation

Shows how strongly the two instruments move in relation to each other.

Higher correlation is generally more suitable for spread-style analysis.

Session

Displays the current market session, such as:

  • Asia
  • London
  • New York

This helps traders understand which trading period they are currently in.

SYMBOL 1 / SYMBOL 2

These sections show real-time information for both instruments.

They include:

  • Bid
  • Ask
  • Broker Spread
  • ATR
  • Swap Long
  • Swap Short

This helps traders evaluate each symbol individually in terms of:

  • trading cost
  • volatility
  • overnight holding conditions

DAILY COST

This section is very important for pair traders.

Spread Cost

The estimated transaction cost from the bid/ask spread of both symbols combined.

Swap/Day

The overnight swap impact of holding the pair.

Commission

The commission cost for both sides of the pair.

TOTAL/Day

The estimated total daily holding cost for a 1-lot pair position.

This is useful because even if a spread setup looks attractive, the daily holding cost may still make it less practical.

How to read it in a simple way

Case 1: The spread moves far away from normal

If the spread line moves strongly away from its average and approaches or exceeds the Bollinger Band edges, it may suggest that the spread is unusually stretched.

For mean reversion traders, this may be a zone worth monitoring.

Case 2: The spread comes back toward the mean

If the spread starts moving back toward normal levels, this may be considered a possible exit area.

Case 3: Correlation is too low

If the two symbols are not closely related, the spread may be less stable and harder to interpret.

Pairs with stronger correlation are usually more natural candidates for this kind of analysis.

Case 4: Daily cost is too high

Even if the spread setup looks good, high daily cost can reduce the attractiveness of the trade.

This means the setup may require faster mean reversion, otherwise costs may eat into the result.

Who is this indicator for?

This indicator is suitable for traders who:

  • compare two correlated markets
  • trade spread or pair opportunities
  • look for mean reversion setups
  • want both visual signals and cost analysis in one place
Main advantages
  • Easy symbol selection directly from the chart
  • Real-time spread visualization
  • Open and Close reference levels
  • Bollinger Bands for spread extremes
  • Correlation, ATR, swap, and cost information included
  • Useful for pair selection and spread trade planning
Important note

This indicator is not an automatic trading system.

It is a decision-support tool designed to help analyze spread opportunities.

It works best when used together with:

  • a clear entry and exit plan
  • position sizing rules
  • broker cost awareness
  • proper pair selection



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Georgios Kalomoiropoulos
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Noppawat Tumjai
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Pieter Gerhardus Van Zyl
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Capitalgrid01
Mr Nisit Noijeam
A grid trading strategy is a method used in financial markets, particularly in forex trading, that involves placing buy and sell orders at regular intervals above and below a set price level. This creates a grid-like pattern of orders on the chart, hence the name "grid trading." Here’s a detailed explanation: Grid Trading Strategy Basic Concept : Grid trading is designed to capitalize on market volatility. The strategy works best in ranging or sideways markets, where prices fluctuate within a c
MAcapitalzone
Mr Nisit Noijeam
OIL Product setting  Define maximum allowed slippage as an input parameter (กำหนดค่า Slippage สูงสุดที่ยอมรับได้) ค่าที่ตั้งไว้: 50 อธิบาย: กำหนดความแตกต่างสูงสุดระหว่างราคาที่คาดว่าจะได้ซื้อขายกับราคาจริงที่เกิดขึ้นเพื่อป้องกันการซื้อขายที่เกิดขึ้นในราคาที่ไม่ต้องการ Enable buy orders (เปิดให้รับคำสั่งซื้อ) ค่าที่ตั้งไว้: true อธิบาย: กำหนดว่าจะเปิดใช้งานการซื้อ (Buy Orders) หรือไม่ ถ้า true แสดงว่าเปิดการซื้อขาย Initial price for red line (ราคาเริ่มต้นสำหรับเส้นแดง) ค่าที่ตั้งไว้: 85.0 อธิบ
Capitalformular
Mr Nisit Noijeam
กลยุทธ์ HFT Hedging แบบปรับลอตเพิ่ม ตั้งต้นด้วยสถานะสองฝั่ง (Long และ Short) ในการ Hedging คุณจะเปิดสถานะทั้งฝั่ง Long และ Short พร้อมกันในตราสารเดียวกันเพื่อป้องกันความเสี่ยงจากการเคลื่อนไหวในทิศทางใดทิศทางหนึ่ง คุณจะเริ่มเปิดสถานะโดยใช้ลอตต่ำที่สุด เพื่อทดสอบทิศทางการเคลื่อนไหวของตลาด ใช้เงื่อนไขในการเปิดสถานะเพิ่มเติม (ปรับลอตเพิ่ม) เมื่อสถานะหนึ่งขยับเข้าใกล้เป้าหมายกำไร (Take Profit หรือ TP) หรือเริ่มเข้าเขตทำกำไร (เช่น เมื่อ ATR หรือ ค่า Technical Indicator อื่นๆ บอกถึงความผันผวนที่เพิ่มขึ
Capitalrecover
Mr Nisit Noijeam
HFT  ZONE MOMENTUM RECOVERY EA_Name ค่า: HFT MTRADER ใช้สำหรับระบุชื่อของ EA เพื่อให้ง่ายต่อการจัดการหรือตรวจสอบในประวัติการเทรด (History) Lot_fix ค่า: 0.02 ใช้กำหนดขนาดของล็อตคงที่ (Fixed Lot Size) ที่ EA จะเปิดในแต่ละคำสั่งเทรด โดยไม่ขึ้นอยู่กับเงื่อนไขอื่น ๆ Lots_X ค่า: 1.5 ตัวคูณล็อต (Lot Multiplier) ซึ่งมักใช้ในการเพิ่มขนาดล็อตในลักษณะการ Martingale หรือ Hedging โดยเมื่อขาดทุนหรือเปิดคำสั่งถัดไป ระบบจะเพิ่มล็อตตามค่าที่กำหนดไว้ High_Low_end_candle ค่า: 10 จำนวนแท่งเทียนที่ใช้ในการคำนวณระ
CapitalTrendline2
Mr Nisit Noijeam
EnJoy  trend line It is a basic tool in technical analysis which is used to track and predict the direction of price movements. It is created by connecting the lowest or highest points of prices on the chart. To create a straight line that helps in interpreting market direction. For example: Uptrend Line: Connects multiple low points on the chart. It indicates a continuous increase in prices. Downtrend Line: Connects multiple highs. It indicates a continuous decrease in prices. เส้นเทรนด์ไลน์ เป
CapitalGrid
Mr Nisit Noijeam
Code Components and Functionality Basic Information #property : Used to define the EA properties like copyright, link, version, and description. input : Parameters that users can customize in the EA, such as enabling/disabling buy/sell orders, price levels, take profit points, lot sizes, etc. Main Functions OnInit() : Executes when the EA is initialized. It creates a label on the chart and draws red lines at specified price levels (Red Line). OnDeinit(const int reason) : Executes when the EA is
Capitalrecover2
Mr Nisit Noijeam
HFT  ZONE MOMENTUM RECOVERY EA_Name ค่า: HFT MTRADER ใช้สำหรับระบุชื่อของ EA เพื่อให้ง่ายต่อการจัดการหรือตรวจสอบในประวัติการเทรด (History) Lot_fix ค่า: 0.02 ใช้กำหนดขนาดของล็อตคงที่ (Fixed Lot Size) ที่ EA จะเปิดในแต่ละคำสั่งเทรด โดยไม่ขึ้นอยู่กับเงื่อนไขอื่น ๆ Lots_X ค่า: 1.5 ตัวคูณล็อต (Lot Multiplier) ซึ่งมักใช้ในการเพิ่มขนาดล็อตในลักษณะการ Martingale หรือ Hedging โดยเมื่อขาดทุนหรือเปิดคำสั่งถัดไป ระบบจะเพิ่มล็อตตามค่าที่กำหนดไว้ High_Low_end_candle ค่า: 10 จำนวนแท่งเทียนที่ใช้ในการคำนวณระ
Capitalallweather
Mr Nisit Noijeam
BB-Trader Pro: ปลดล็อกพลังการเทรดทำกำไรในทุกสภาวะตลาด! เบื่อไหม? กับ EA ที่ใช้ได้ดีแค่ในตลาดบางช่วง... พอตลาดเปลี่ยนจากมีเทรนด์เป็น Sideways สัญญาณก็เริ่มพลาด ล้างพอร์ตโดยไม่รู้ตัว ถึงเวลาแล้วที่จะปฏิวัติการเทรดของคุณด้วย BB-Trader Pro EA อัจฉริยะที่ถูกออกแบบมาให้ "คิดและปรับตัว" ได้เหมือนเทรดเดอร์มืออาชีพ! "สมองกลสองโหมด" กลยุทธ์ที่ไม่เคยหยุดนิ่ง หัวใจหลักของ BB-Trader Pro คือความสามารถในการวิเคราะห์ความผันผวนของตลาดจาก Bollinger Bands และปรับเปลี่ยนกลยุทธ์การเทรดโดยอัตโนมัติ โหมดเทรดปกติ (N
Doncapital
Mr Nisit Noijeam
https://youtu.be/j_LyNuxNmpc?si=8gKkEP8Mx11TAoqJ อีเอตัวนี้คือ "Grid Trading EA แบบ 2 ทาง (Buy/Sell ทำงานอิสระ)" ที่เสริมระบบป้องกันความเสี่ยงขั้นสูง กลยุทธ์หลัก (Independent Grid): วางตาข่าย Buy และ Sell แยกกัน ถ้าราคาขยับไปชนเส้น Grid ที่ตั้งไว้ บอทก็จะเปิดออเดอร์ฝั่งนั้นๆ สะสมไปเรื่อยๆ ตัวกรองเทรนด์ (Donchian Channel): ใช้ประเมินกรอบราคา สามารถสั่งให้บอท "หยุด" เปิดออเดอร์สวนเทรนด์ (เช่น ห้าม Buy ถ้าราคาอยู่ครึ่งล่าง) และใช้เส้น Donchian เป็นจุดเลื่อน Stop Loss อัตโนมัติได้ ระบบรวบกำไร (Auto
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