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Austin Trend Oscillator

Check out other great products from https://www.mql5.com/en/users/augustinekamatu/seller 

This indicator is the best so far at estimating reversal points especially on high time frames.

It does not repaint and is based on a combination of moving averages computed using custom functions.

No inputs required, it is simple plug and play.

The principles used ensure that it can be used on CFDs, Commodities and Stock with incredibly great results.

With proper money management and portfolio balancing the Indicator can be applied to any trading strategy to generate consistent profits.

A Winning Trading Strategy

This article describes the components and logic needed to develop a trading strategy that ensures that a profit is made regardless of what twists and turns the market throws at you.


Time, experience and thousands of experiments have led me to conclude that the strength of a strategy is not in the accuracy of the indicator signals but in the management of open positions. In this article, I will describe the components and logic needed to develop a trading strategy that ensures that a profit is made regardless of what twists and turns the market throws at you.


First, we define the overall objective of our trading strategy. My objective is to achieve 0.5% per day for 20 trading days in a month for 12 months which translates to return of between 120% (if you use simple interest formula 0.5%x20x120) and 231% (if you use compound interest formula (1+0.5%)^(20*12)-1). This return by any standard is sufficient to provide steady income. The simple interest return is achieved by using a level lot size for all trades. Compound interest is achieved by increasing the lot size in proportion to the profits made so far.

Portfolio Diversification

There are two ways that we can achieve diversification, using different assets (currencies) and using different timeframes.

Asset diversification: For the success of the strategy, we need to create a very well diversified portfolio. This means we have to open a position in many different pairs. This way, if we get a false signal in 1 or 2 positions, the profits from the other positions will help to achieve the overall objective.

Time frame diversification: The indicator in use could show different signals depending on the time frame. It does not necessarily mean that one is wrong it may be that there is a retracement. Therefore diversifying on different time frames gives you an edge by earning short-term profits as we wait for price to follow the longer-term signal. This will bring us closer to achieve our objective.

Note that if the signal changes direction, the position will close so long as it is profit. If it is not in profit, the position will go under Position Management described below.

Position Management

In most cases the account will have achieved the target return but there are still open positions that are running at a loss and need to be managed without losing the profit already made. There are two tactics used to exit from these positions.

Tactic 1: We wait for another signal that supports the current position that has gone wrong. Then we open another position at a better price with a higher lot and put a take-profit at a price close to the average open price. We will repeat this process if we get more signals at better prices. This way the exit point moves closer to the current price and we will eventually exit with a small profit.

Tactic 2: Since we have already achieved our target for the day, we can redirect any additional profit to neutralize open positions with high running losses. We achieve this by finding the pair with the highest loss, then locate the oldest position in that pair and close it in full or in part in proportion to the extra profit earned.


With the application of this and many other algorithms my EA's can take any indicator and generate consistent profits while managing risks properly so that you don't wipe out your account. You can check out results of the strategy in my signals page https://www.mql5.com/en/signals/author/augustinekamatu


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rajeh shili
GBP currency bar chart (HLC) in a separate window with Long and short term regression channel to easily detect the strength or the weakness of the currency. For GBPUSD : it is very easy to see the direction of the pair, if used in conjunction with US Dollar and VSA volume indicators. For EURGBP : it is very easy to see the direction of the pair, if used in conjunction with EURO and  VSA volume indicators. For GBPJPY : it is very easy to see the direction of the pair, if used in conjunction with
20 USD
Alberto Cejudo
Background : Indicator On Chart based on my own oscillator ACe_Vector2016. As you can appreciate, this indicator draws two bands on the chart in order to identify long and short opportunities. When the momentum vector oscillator (ACe_Vector2016) crosses the zero line, the indicator On Chart draws a long/short signal (green/red arrow). Also you can identify the trend line on chart (MA): green colour if trend is moving up, and red colour if trend is moving down. This indicator draw up and down non
10 USD
Stanislav Korotky
The indicator calculates WPR formula on volume-aware indicators  Accumulation/Distribution , OnBalance Volume , or Price Volume Trend . WPR range is moved into positive domain [0..1] for convenience. Parameters WPR - period of WPR, by default 24; Base - type of the underlying indicator: AccumulationDistribution (by default), OnBalanceVolume, or PriceVolumeTrend; Price - applied price type for OBV and PVT, by default - Close; it's ignored in case of AD; Screenshots On the screenshots below th
12.50 USD
SR lines 4
Anton Gorin
SR lines 4 indicator draws the support and resistance lines on a chart. The lines are drawn using maximums and minimums. They are detected using intersections of two moving averages. The indicator has two input parameters: First MA Period and Second MA Period. They are used for specified the periods of the corresponding moving averages.
10 USD
MTF ADX with Histogram
Leonid Basis
Multi TimeFrame indicator MTF ADX with Histogram shows ADX indicator data from the TF by your choice. You may choose a TimeFrame equal or greater than current TF. Yellow line is representing a price trend from the upper TF. Green line is representing +DI from the upper TF. Red line is representing -DI from the upper TF. Green histogram is displaying an Up-trend. Red histogram is displaying a Down-trend.
30 USD
ThorstenKock 2020.07.09 00:22 

Way too much false signals

Respuesta al comentario
Versión 1.1 2020.07.17
Added Push notification and Arrows on chart