Tickify Hedge Recovery

Tickify EA: The Quantitative Hedging & Recovery Engine

Trading the financial markets requires discipline, precision, and the ability to manage risk when conditions change unexpectedly. You understand that relying on simple stop losses often locks in unnecessary capital reduction during temporary market retracements. You need a system that adapts, recalculates, and recovers.

Tickify is an advanced algorithmic trading system engineered specifically for MetaTrader 5 hedging environments. Rather than predicting the market with rigid assumptions, Tickify operates as a dynamic recovery engine. When an initial position faces adverse movement, the system does not simply accept the loss. Instead, it utilizes mathematical algorithms and real-time volatility tracking to deploy a precise recovery basket. This ensures that even a minor market correction can pull the entire sequence into a net profit, automatically liquidating the basket the moment your target is achieved.

Core Advantages

Adaptive Market Mechanics Fixed grid systems fail because they cannot adapt to changing market speeds. Tickify features the Apex Volatility Engine. By continuously measuring the Average True Range, the system dynamically spaces its recovery allocations. In chaotic markets, it widens its defensive stance to preserve your margin. In calm markets, it tightens its precision to capitalize on narrower ranges.

Institutional Risk Management Your capital is protected by multiple layers of security. Tickify includes a hard global equity drawdown limit, dynamic spread protections to prevent execution during hostile broker pricing, and a Fractional Locking protocol that deploys a partial counter-hedge to arrest drawdown velocity during extreme directional market moves.

Algorithmic Precision Tickify avoids the trap of taking low-probability trades. The initial entry requires strict mathematical confluence across the M15, H1, and H4 timeframes using the Relative Strength Index. This multi-dimensional alignment ensures the system only engages the market when conditions are mathematically optimal.

Key Features

  • Dynamic Volatility Spacing: Automatically adjusts the distance between recovery trades based on live market speed.
  • Quantitative Lot Sizing: Replaces primitive multipliers with algebraic volume calculations to perfectly hit profit targets.
  • Partial Overlap Pruning: Intelligently pairs the most profitable and least profitable active trades, closing them simultaneously to systematically reduce market exposure during long recovery cycles.
  • Pyramid Scaling: Maximizes strong trends by deploying fractional add-on trades when a position is heavily in profit.
  • Stealth Mode: Manages exit targets strictly within the system memory, hiding your true stops from the brokerage server to prevent stop-hunting.
  • Friday Flattening: Optionally forces a complete liquidation of all open assets before the weekend market closure to avoid unpredictable Monday price gaps.

Input Parameters

Strategy Settings

  • InpMagicNumber: Unique identifier for the EA trades on the chart.
  • InpTakeProfitAmount: The net profit target in your base currency to close a basket.
  • InpFollowTrend: Restricts entries to align with the primary moving average.
  • InpEMAPeriod: The period used for the trend calculation.
  • InpUseRSIFilter: Requires multi-timeframe RSI alignment before the first entry.
  • InpRSIPeriod: The period used for the RSI calculations.
  • InpStealthMode: Hides exit targets from the broker.
  • InpManageManuals: Allows the EA to manage and recover trades you open manually.

Advanced Protection

  • InpMaxEquityDrawdown: Hard equity stop limit percentage to preserve capital.
  • InpMinMarginLevel: Minimum free margin percentage required before allowing new recovery trades.
  • InpMaxSpread: Maximum allowable spread in points for executing a trade.
  • InpTimeExitFriday: Closes all trades on Friday before the market closes.

Recovery Enhancements

  • InpQuantitativeLot: Uses dynamic algebraic lot sizing instead of static multipliers.
  • InpATRGridSpacing: Uses volatility to determine the distance between recovery trades.
  • InpPartialOverlapClose: Pairs and closes trades incrementally to reduce net exposure.
  • InpFractionalLocking: Deploys a partial counter-hedge during extreme directional moves.
  • InpPyramidOrders: Deploys fractional add-on trades during strong winning trends.

Setup Recommendations

  • Account Type: Hedging account is required.
  • Minimum Balance: 1000 per currency pair traded, or equivalent on a cent account.
  • Timeframe: M15 chart.
  • Currency Pairs: Major pairs with high liquidity.
  • Infrastructure: A Virtual Private Server is highly recommended to maintain continuous connection for Stealth Mode and recovery calculations.

Please ensure you run the system in a simulated environment for an adequate period to fully understand the recovery mechanics and volatility spacing before deploying live capital.

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