Stochastic grid master

STOCHASTIC GRID MASTER — Dual-Direction Averaging System for MT4

Stochastic Grid Master trades both directions independently using a Stochastic Oscillator momentum trigger, then manages each side as its own basket with averaging entries and a shared take-profit target. Buy and sell baskets run on separate magic numbers, so one side closing in profit never disturbs the other.

How it works

The EA opens the first position when Stochastic momentum turns in its favour above (buy) or below (sell) the configured zone level. If price moves against the entry by the grid step, an averaging order is added with a lot multiplier. Each basket closes as a whole once combined profit reaches the target, calculated as a per-order pip contribution — so the more orders in the basket, the further the recovery target moves in your favour.

Key features

  • Independent buy and sell baskets with separate magic numbers
  • Two grid modes: fixed step, or progressively widening step as the basket grows
  • Configurable lot multiplier and starting lot per direction
  • Basket take-profit that scales with grid depth
  • Automatic max-lot ceiling based on broker limits and account balance
  • Equity Stop protection — halts new entries if equity falls below a set percentage of balance
  • Full day-of-week filter (all 7 days individually)
  • Three independent intraday session windows, with overnight window support
  • Time source selectable: Local, GMT, or Broker time
  • Option to apply the day/time filter to grid additions as well as first entries
  • On-chart dashboard: account details, margin health, equity percentage, current drawdown, EA status, live basket counts, daily/weekly/monthly P&L breakdown
  • Closed-trade result labels printed directly on the chart
  • Optional gradient chart background (disabled automatically during optimisation)
  • Bar-close execution — no tick-by-tick spam, backtests reliably in Every Tick mode

Settings overview

  • step — grid spacing in points
  • StepMode — 0 = fixed spacing, 1 = spacing widens with each level
  • proffactor — basket take-profit in points per open order
  • mult — lot multiplier for each averaging order
  • lotsbuy / lotssell — starting lot for each direction
  • per_K / per_D / slow — Stochastic parameters
  • zoneBUY / zoneSELL — momentum zone thresholds
  • Account_Loss_Margin — equity stop level as a percentage of balance
  • Day toggles, three session windows, and time-source selector

Recommendations

  • Timeframe: M15 to H1
  • Pairs: major FX pairs with tight spreads and low swap
  • Account type: hedging-enabled, ECN or Raw spread
  • Minimum deposit: scale to your starting lot — 0.01 lots per $1,000 is a conservative baseline
  • Always run a demo or cent account for at least one full month before going live

Important risk disclosure

This is a grid and averaging Expert Advisor. It does not use a hard stop loss on individual positions. Losing sequences are held and averaged, and the lot multiplier increases exposure with each level. Deep trends against an open basket can produce large floating drawdown and, without adequate capital, account loss. The equity stop is a protective monitor that blocks new entries — it does not liquidate existing baskets.

Past performance and backtest results do not predict future results. Trade only with capital you can afford to lose, and test thoroughly on demo before committing real funds.


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BUY 1 and GET 1 FREE - Promotion! Buy Forex Diamond EA with a huge –60% discount and GET 1 FREE EA by your choice! Promo Price: $217 (Regular Price: $547 — You Save $330!) After purchase contact me to get your GIFT EA! You can also contact me to get the list of available GIFT EAs! Live Results:   https://www.mql5.com/en/signals/2379493 Forex Diamond EA – Reliable Automated Trading Powered by Smart Algorithms Forex Diamond EA is a proven expert advisor designed to deliver consistent results us
Wall Street Robot MT4
MQL TOOLS SL
5 (1)
Wall Street Robot is a   professional trading system   developed exclusively for US stock indices, focused on S&P500 and Dow Jones. These markets are known for their high liquidity, structured movements and strong reaction to global economic flows, making them ideal for algorithmic trading strategies based on precision and discipline. By concentrating only on these indices, the system is able to adapt closely to their behavior, volatility patterns and intraday dynamics, instead of trying to oper
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Box Breakout Recovery trades the breakout of a user-defined time window and manages the outcome with a structured recovery chain rather than a fixed grid. How it works Box formation. Between the start and end times you set (server time), the EA records the highest high and lowest low of that window. Stop orders. At the end of the window it places a Buy Stop above the box high and a Sell Stop below the box low, each offset by a configurable number of points. Take profit is a percentage of the mea
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