RSI strategy EA MT5
45 USD
Descargado demo:
223
Publicado:
17 noviembre 2023
Versión actual:
39.0
¿No ha encontrado el robot adecuado?
Encargue el suyo
en la bolsa Freelance.
Pasar a la bolsa
Encargue el suyo
en la bolsa Freelance.
Cómo comprar un robot comercial o indicador
Inicia el robot en el
hosting virtual
hosting virtual
Pruebe un indicador/robot comercial antes de comprarlo
¿Quieres ganar en el Market?
Cómo ofrecer un producto para que lo compren
Está perdiendo oportunidades comerciales:
- Aplicaciones de trading gratuitas
- 8 000+ señales para copiar
- Noticias económicas para analizar los mercados financieros
Registro
Entrada
Usted acepta la política del sitio web y las condiciones de uso
Si no tiene cuenta de usuario, regístrese

Hello,
I'm backtesting the EA.
Can you please check the following two things?
1. Trade Direction:
Even when I set the trade direction to 'only short,' long trades occur, and vice versa.
Refer to the attached images.
2. No New Entry if Trades exists:
When set to "true", I believe [next trade after X bars] is necessary.
Otherwise, too many trades may occur at similar price levels.
Hello,
I'm backtesting the EA.
Can you please check the following two things?
1. Trade Direction:
Even when I set the trade direction to 'only short,' long trades occur, and vice versa.
Refer to the attached images.
2. No New Entry if Trades exists:
When set to "true", I believe [next trade after X bars] is necessary.
Otherwise, too many trades may occur at similar price levels.
Added these two fixes in new version. New input name is Next open trade after x second [0: disable]
Overall, I am very satisfied, but I would like to make a suggestion and report a bug.
1. GENERAL SETTINGS : No New Entry If Trade Exists(true)
In the scenario where there's an active buy position, I want to ignore only buy signals and still want to take sell signal entries. Conversely, if there's an active sell position, I want to ignore further sell signals and want to take buy signal orders.
2.GRID SETTINGS : Execution Mode(pending orders)
Even after all grid orders are closed, the pending order is not automatically deleted. It continuously repeats being deleted and reopened.Even if manually deleted, it reopens again, so I have to restart MetaTrader to completely remove it.
Overall, I am very satisfied, but I would like to make a suggestion and report a bug.
1. GENERAL SETTINGS : No New Entry If Trade Exists(true)
In the scenario where there's an active buy position, I want to ignore only buy signals and still want to take sell signal entries. Conversely, if there's an active sell position, I want to ignore further sell signals and want to take buy signal orders.
2.GRID SETTINGS : Execution Mode(pending orders)
Even after all grid orders are closed, the pending order is not automatically deleted. It continuously repeats being deleted and reopened.Even if manually deleted, it reopens again, so I have to restart MetaTrader to completely remove it.
Thanks a lot for bug report I will fix this
for scenario 1:
No need of new input. it will complicate things. I have a better solution. You put the Ea in 2 charts . One chart select trade direction "Only Buy" and in other select "Only Sell" runt them with different magic number.
for scenario 2:
it was a valid bug and the fix has been provided in the latest version. Please check.
As advised, I have been operating buy and sell separately, as per your suggestion in Scenario 1. Thank you for your kind response.
And I am reporting another potential bug.
Today(6/3), as soon as the market opened, a buy entry occurred on NZDCAD even though the RSI trade conditions (upper level:70, lower level:30) were not met. Additionally, since there was an active sell trade already, another buy trade should not have occurred.
It seems like the issue might have occurred due to widened spreads right after the market opened. If it's a bug, please fix it. Thank you.
As advised, I have been operating buy and sell separately, as per your suggestion in Scenario 1. Thank you for your kind response.
And I am reporting another potential bug.
Today(6/3), as soon as the market opened, a buy entry occurred on NZDCAD even though the RSI trade conditions (upper level:70, lower level:30) were not met. Additionally, since there was an active sell trade already, another buy trade should not have occurred.
It seems like the issue might have occurred due to widened spreads right after the market opened. If it's a bug, please fix it. Thank you.
ok I will check this. hopefully in next version it is going to be fixed
Hello!
Overall, I am very happy this EA. Congratulatios!
I am backtesting it and found a issue:
-- when I set up to FALSE to "Trade on New Bar" (see print below), EA launched many trades (for the same pair) at the same time at the same price and the same direction.
Could you please verify this issue? Thanks.
Hello!
Overall, I am very happy this EA. Congratulatios!
I am backtesting it and found a issue:
-- when I set up to FALSE to "Trade on New Bar" (see print below), EA launched many trades (for the same pair) at the same time at the same price and the same direction.
Could you please verify this issue? Thanks.
Thanks for reporting I will check and let you know
Many thanks.. I Will test it.. one question: If trade on New bar is False and No New entry If trade exists is also False, I understand that If I have a 15 min chart, for example, EA Will launch a new trade when gets to the defined RSI level, correct? If It gets to defined RSI at 10:34 am EA Will launch New trade and do not wait until 10:45, is that correct? My main concern is with news that may shake prices rapidly. Thanks.
Backtest and Set files link is not working. Could you please eheck and give a return? Thanks.
Link you sent is for EA-Bollinger files (and not for RSI) . Can you check again since I would like to have for
Link you sent is for EA-Bollinger files (and not for RSI) . Can you check again since I would like to have for
Hello! I have been using the version 14.0 and it works very well.
However, this week I installed the newest version 17.0 to test it, but it seems this version has an error: selected profit and loss per AMOUNT and it is not working: trades are being closed in a profit and loss much different from the numbers inserted in the EA. Follows attached file as an example.
Could you please verify this problem on version 17.0?
Hello! I have been using the version 14.0 and it works very well.
However, this week I installed the newest version 17.0 to test it, but it seems this version has an error: selected profit and loss per AMOUNT and it is not working: trades are being closed in a profit and loss much different from the numbers inserted in the EA. Follows attached file as an example.
Could you please verify this problem on version 17.0?
Ok I will check and get back to you, in the mean time , can you check the exit condition selected. Earlier it was no exit condition by default. I added an extra enty and exit condition that may be selected by default which closing the trades
I checked the your set file , the reason for which it is closing amount is much different is the "condition check mode" input . Earliar it was everytick now the default has been changed to every period. If you change back to every tick the results are back to normal again.
every period only calculated at the candle begining, it is better option for some traders for faster backtesting. Please check and let me know after setting it to every tick mode
Hello!
I've been using this EA since version 1.0 and have been running version 9.0 with my own custom settings.Thanks to this EA, I've earned more than 30 times the purchase price, and I've been very satisfied.
Today, I upgraded to version 17.0, but I noticed that, unlike in version 9.0, I can no longer set both Grid / Hedge to true at the same time. This feature is crucial to my strategy.
Could you modify version 17.0 to enable simultaneous use again? Alternatively, is there a way to obtain version 9.0 separately?