Kecia Market Manager

The Kecia Market Manager is an advanced MT5 indicator that transforms multi-asset correlation analysis into actionable trading intelligence. By employing 6 sophisticated statistical frameworks and professional-grade visualizations, this tool reveals hidden market relationships, pair trading opportunities, and portfolio hedging strategies across unlimited currency pairs in real-time.

Key Features:

  • Multi-Metric Analysis Engine:
    • Pearson correlation coefficient with rolling windows
    • Cointegration testing (ADF, Johansen) with half-life calculations
    • Lead-lag relationship detection with optimal lag identification
    • Beta calculations and dynamic hedge ratio optimization
    • Volatility spillover and contagion risk measurement
    • Mean reversion scoring with Hurst exponent analysis
  • Professional Visualization Suite:
    • Correlation Matrix: Heat-mapped grid with smooth gradient coloring
    • Advanced Charting: 8 chart types including Rainbow, Heatmap, and Bands
    • Smart Scanner: Real-time ranking of strongest relationships
    • Network Graph: Interactive force-directed visualization of market connections
  • Dynamic Symbol Management:
    • Monitor unlimited symbols with checkbox selection
    • Real-time price updates and performance tracking
    • Multi-timeframe analysis (M5 to D1) with instant recalculation
    • Persistent symbol states across sessions
  • Intelligent Signal Generation:
    • Z-score based mean reversion signals
    • Cointegration break alerts
    • Lead-lag arbitrage opportunities
    • Risk-adjusted position sizing recommendations
  • Professional UI/UX:
    • Dark theme optimized for extended trading sessions
    • Responsive layout with collapsible panels
    • Smooth animations and hover effects
    • One-third screen alerts panel with timeframe selector

Why Professional Traders Choose This Tool:

  1. Statistical Arbitrage: Identify mean-reverting pairs with optimal entry/exit signals
  2. Portfolio Hedging: Calculate real-time hedge ratios for risk neutralization
  3. Lead-Lag Trading: Exploit temporal relationships between correlated assets
  4. Regime Detection: Monitor correlation breakdowns during market stress
  5. Volatility Analysis: Track contagion risk across your portfolio

    Technical Specifications:

    • Platform: MetaTrader 5 (Build 2875+)
    • Resource Usage: Optimized for 20+ symbols simultaneously
    • Update Frequency: Tick-by-tick with intelligent throttling
    • Data Requirements: Minimum 100 bars for statistical significance

    Installation: Drag and drop to any MT5 chart. The indicator creates a standalone window with full functionality, requiring no additional configuration. All calculations update automatically based on your selected timeframe and symbol selections.


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