# Real Trader

It is an Expert Advisor that contains six different trend following strategies. Every Strategy always **sets stop loss** and **Profit target for every trades**. It also employs profit trailing for every trades.

### Recommendation

- Pair -
**EURUSD**. - Timeframe -
**1 hour**.

### Features

It does not use:

- Grid
- Martingale
- Hedging
- Arbitrage

### Requirement

- VPS that is available 24/7
- Four (4) and Five (5) digit brokers
- Minimum initial Balance - $50

### Settings

**UseStrategyA .. I -**if set*true*, signal of strategy A...I is use in trading**Display_EA_Name -**if set*true*, dashboard of the EA is displayed**UseMoneyManagement -**if*true*, the EA will calculate lot size to use in opening initial trade by using the value of MaximumRisk parameter below;**FixedLots**- Fixed trading volume for every open positions;**CommonMagicNumber**- common magic number for all the strategies;**MaximumRisk -**percentage of initial deposit to be used in opening a single trade;**DecreaseFactor**- value used in calculating the next trading lot if the previous trade is a loss trade. The higher the value, the lower the next trading lot;**RT_MaximumTolerantSpread -**maximum value of spread for opening any trade by all strategies**StopLossStrA –**Stop loss value for every trade by strategy A. Note that if set to zero, no stop loss is set;**ProfitTargetStrA –**Profit target value for every trade opened by strategy A. Note that if set to zero, no profit target is set is set;**MomPeriodStrA**- Period of Momentum indicator to open trade in strategy A;**ADXPeriodStrA**- Period of Average Directional Movement Index indicator to open trade in strategy A;**StochKStrA**– Value of K parameter in stochastic indicator to open trade in strategy A;**StochDStrA**- Value of D parameter in stochastic indicator to open trade in strategy A;**StochSlowingStrA**- Value of slowing parameter in stochastic indicator to open trade in strategy A;**StochLevelStrA**– Value of stochastic indicator to open trade in strategy A;**ForceExitPeriodStrA**- Period of Force index indicator to open trade in strategy A**StopLossStrB –**Stop loss value for every trade by strategy B. Note that if set to zero, no stop loss is set;**ProfitTargetStrB –**Profit target value for every trade opened by strategy B.

Note that if set to zero, no profit target is set is set;**WPRPeriodStrB**- Period of William Percentage Range indicator to open trade in strategy B;**RVIPeriodStrB**- Period of Relative Vigor Index indicator to open trade in strategy B;**ForcePeriodStrB**- Period of Force indicator to open trade in strategy B;**DeMarkerPeriodExitStrB**- Period of DeMarker indicator to Close trade in strategy B;**StopLossStrC –**Stop loss value for every trade by strategy C. Note that if set to zero, no stop loss is set;**ProfitTargetStrC –**Profit target value for every trade opened by strategy**C**. Note that if set to zero, no profit target is set is set;**CCIPeriodStrC**- Period of Commodity Channel Index indicator to open trade in strategy C;**CCI_Level_StrC**- Value of Commodity Channel Index indicator to open trade in strategy C;**MAPeriod_A_StrC**- Period of Fast Moving average indicator to open trade in strategy C;**MAPeriod_B_StrC**- Period of Slow Moving average indicator to open trade in strategy C;**AOLevelStrC**– Value of Accelerator Oscillator indicator to open trade in strategy C;**StopLossStrD –**Stop loss value for every trade by strategy D.

Note that if set to zero, no stop loss is set;**ProfitTargetStrD –**Profit target value for every trade opened by strategy D.

Note that if set to zero, no profit target is set is set;**WPRPeriodStrD**- Period of William Percentage Range indicator to open trade in strategy D;**WPRLevelStrD**- Value of William Percentage Range indicator to open trade in strategy D;**AOLevelStrD**- Value of Accelerator Oscillator indicator to open trade in strategy D;**StopLossStrE –**Stop loss value for every trade by strategy E.

Note that if set to zero, no stop loss is set;**ProfitTargetStrE –**Profit target value for every trade opened by strategy E;**WPRPeriodStrE**- Period of William Percentage Range indicator to open trade in strategy E;**BandPeriodExitStrE**- Period of Bollinger Band indicator to exit a trade in strategy E.

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Version 1.43
2019.01.09

1. Input parameter - "MaximumRisk " changed from 'int type' to 'double type'. It enable user to also use decimal value.

2. Information panel modified.

2. Information panel modified.

Version 1.42
2018.12.20

Default value of RT_maximumTolerantSpread parameter changed

Version 1.41
2018.09.10

Fix and resolve of Stop loss and Profit target errors in strategies B and I

Version 1.40
2018.09.09

Stop loss and profit target parameters for all strategies was added.

Version 1.30
2018.08.23

1. Spread filter added

2. Trading error in strategy c fixed

3. Added parameter that ensure Possibility of closing trade before weekend on Friday

4. More strategy added

2. Trading error in strategy c fixed

3. Added parameter that ensure Possibility of closing trade before weekend on Friday

4. More strategy added

Version 1.20
2018.08.14

1. More parameters added

2. Ability to trade with only one or more strategy

3. Dashboard also provided

2. Ability to trade with only one or more strategy

3. Dashboard also provided

Version 1.1
2018.06.08

Three (3) parameters added. They are explained as follow:

1. UseMoneyManagement: if 'true', the EA will make use of maximum risk and DecreaseFactor parameters to calculate the amount of lot to trade.

2. MaximumRisk: % of account margin to use in opening a position.

3. DecreaseFactor: value used by the EA to calculate a lot size after a loss trade.

1. UseMoneyManagement: if 'true', the EA will make use of maximum risk and DecreaseFactor parameters to calculate the amount of lot to trade.

2. MaximumRisk: % of account margin to use in opening a position.

3. DecreaseFactor: value used by the EA to calculate a lot size after a loss trade.