Whale Speed Volatility Divergence

1

This EA looks for a two-layer momentum/liquidity breakout:

Divergence detection (trigger):

  • TPS (ticks-per-second / bar tick_volume ) must be high vs. its recent average ( TPS_Multiplier ),

  • while Volatility (bar high–low) must be low vs. its recent average ( Volatility_Multiplier ).

This combo flags “flow in a quiet range” → a likely near-term breakout.

Direction & filter:

  • If the signal bar is green ( close > open ) → consider BUY; if redSELL.

  • Optional MA trend filter ( Use_TrendFilter ): bar above MA → BUY allowed; below MA → SELL allowed.

Order parameters:

  • SL = signal bar low (BUY) or high (SELL).

  • TP = SL × TakeProfit_Multiplier (risk/reward multiple).

  • Position size is computed from RiskPercentage . If margin is insufficient, size is reduced iteratively ( Reduce_On_Margin_Or_Limit , Open_Retry_* ).

Execution safeguards (broker realities):

  • Before placing orders, check spread, stop/freeze levels, tick size, and a latency buffer.

  • For SL modifications, use throttle, skip when too close to freeze, pre-modify tick refresh, and slack pips to reduce “close to market” rejections.

  • On open/modify failures, apply cooldowns to avoid spammy logs and needless retries.

Trailing stop engine:

  • As price moves in favor, move SL forward by a pip distance ( TrailingStop_Pips ),

  • enforcing a minimum step each modify ( Trailing_Min_Step_Pips ) and honoring stop/freeze + buffer distances.

Data/warmup & tester compatibility:

  • If there aren’t enough bars, the EA waits ( Require_History_Warmup ) or falls back to another timeframe.

  • In the tester, TPS can be emulated from tick_volume ( Use_TickVolume_Emulation ) and signals can be fixed to bar[1] ( Use_Closed_Bar ) for stable/reproducible backtests.

Signal flow (detail)

OnTimer (every 1s): Real-time TPS counter → tps_history[] ; average of last 5 bars’ high–low → vol_history[] .

OnTick:

  1. Warmup & symbol/TF ready? If not, wait or use fallback TF.

  2. Compute TPS_now / TPS_avg and Vol_now / Vol_avg (emulated in tester).

  3. Condition: TPS_now > TPS_avg × TPS_Multiplier AND Vol_now < Vol_avg × Volatility_Multiplier .

  4. Bar color + optional MA filter set the direction.

  5. Build SL/TP, compute size from risk, check spread & stop/freeze, run iterative margin fit → open order.

  6. If a position is open, run trailing; before modify, refresh tick + apply slack to keep SL within safe limits.

All inputs — explained

Risk & Trade Controls

  • TakeProfit_Multiplier
    Sets TP as a multiple of SL distance (RR). Example: 2.0 = 1:2 RR.

  • Max_Spread_Pips
    If current spread exceeds this, skip signals (avoid poor liquidity entries).

  • InpMagicNumber
    Magic number to tag the EA’s trades. In netting accounts, one position per symbol.

  • RiskPercentage
    % of balance risked per trade. Lot size is derived from this, SL distance, and tick value.

  • TrailingStop_Pips
    If enabled, SL trails price by this many pips (while honoring stop/freeze + buffers).

  • Max_Lots_Per_Trade
    Hard cap: even if the risk formula suggests more, size won’t exceed this.

  • Reduce_On_Margin_Or_Limit
    If opening fails due to margin/volume, shrink lot and retry.

  • Open_Retry_Attempts
    How many reduced-lot retries on open.

  • Open_Retry_Factor
    Each retry multiplies lot by this factor (e.g., 0.75 → reduce by 25%).

Trend Filter (MA)

  • Use_TrendFilter
    When on, a BUY/SELL is only allowed if it aligns with the MA side.

  • MA_Period, MA_Method, MA_Price
    MA settings for the trend filter (SMA/EMA/WMA, close/HLC3, etc.).

Signal Logic (TPS & Vol)

  • TPS_Multiplier
    Threshold for the “flow” side. Higher = more selective vs. average TPS.

  • Volatility_Multiplier
    Threshold for “quietness.” Lower = stricter requirement for low range.

  • HistorySize
    How many seconds/samples of TPS/Vol history to keep (1-second timer in live).

Backtest & Robustness

  • Use_TickVolume_Emulation
    In tester, emulate TPS from bar tick_volume instead of real tick timing.

  • Use_Closed_Bar
    Compute signals on closed bars (bar[1]) → reduces repaint/look-ahead bias.

  • TPS_Lookback_Bars / Vol_Lookback_Bars
    Bar lookbacks for TPS/Vol averages (tester path).

Execution Safeguards

  • Modify_Throttle_Sec
    Minimum seconds between SL modifications (reduces spam/rejects).

  • Trailing_Min_Step_Pips
    Minimum pip improvement required to move SL.

  • Modify_Extra_Buffer_Pips
    Extra buffer on top of broker stop and freeze levels.

  • Enable_CloseToMarket_Backoff
    On “close to market/invalid stops,” retry once with looser distance.

  • Backoff_Extra_Pips
    Extra distance used for that single retry.

  • Freeze_Skip_Pips
    If current SL is within freeze level + this buffer, skip modify (avoid rejects).

  • Modify_Latency_Margin_Pips
    Extra safety vs. live price jumps.

  • Modify_Failure_Cooldown_Sec
    Wait time after a failed modify before trying again.

  • PreModify_Refetch_Tick
    Refresh the tick just before modifying SL; recompute limits with current price.

  • PreModify_Slack_Pips
    Place SL a touch beyond the theoretical limit to reduce “close to market” errors.

  • Open_Failure_Cooldown_Sec
    If open fails (No money / volume limit), wait before retrying—cleaner logs, safer behavior.

Data & Warmup

  • Auto_Select_Symbol
    Auto-select the symbol if not already visible.

  • Require_History_Warmup
    Don’t trade until enough bars are loaded.

  • Auto_Find_Available_TF
    If the main TF lacks data, auto-fallback to the first TF with data.

  • Warmup_Min_Bars
    Minimum bars required before starting.

  • Fallback_Timeframe
    Backup timeframe used when data is insufficient.

  • Preload_Bars
    How many bars to preload at startup.

Risk management (built-in measures)
  • Position sizing: dynamic lots from RiskPercentage and SL distance.

  • Margin fit: use OrderCalcMargin vs. free margin; if it doesn’t fit, iteratively shrink size.

  • Spread filter: skip entries when Max_Spread_Pips is exceeded.

  • Broker level guards: stop/freeze levels + extra buffers + latency margin.

  • Retry policy: only shrink-and-retry on volume/money errors; don’t insist on other rejects.

  • Cooldowns: on open/modify failures to avoid over-trading and excess risk.

Practical tips
  • Tune signal first ( TPS_Multiplier , Volatility_Multiplier , lookbacks), then polish execution (trailing + pre-modify slack).

  • Majors (EURUSD H1/M30): keep Max_Spread_Pips low; start PreModify_Slack_Pips around 0.4–0.8.

  • XAUUSD (D1/H1): large point size; widen TrailingStop_Pips , nudge up Modify_Latency_Margin_Pips and Backoff_Extra_Pips .

  • Scalp (M1/M5): begin with Use_Closed_Bar = true for stability; switching it off increases risk.

Risk disclosure (important)

This EA/strategy:

  • Is not investment advice.

  • Does not guarantee profits; backtests/optimizations do not represent future performance.

  • Market conditions (news, liquidity drops, slippage, latency, broker limits) can negatively impact results.

  • Misconfiguration, low capital, high leverage, or unsuitable risk percentages can cause loss of capital.

  • Demo/forward test before going live; start RiskPercentage low (e.g., 0.1–0.5%) and scale gradually.

  • Stop/freeze levels and contract specs vary by broker—verify your broker’s conditions before using aggressive parameters.


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Filtrer:
patrickdrew
3219
patrickdrew 2025.08.27 06:45 
 

This could be great but a lack of proven sets AND control of LS is very dangerous.

On M5 this EA took a trade with LS 2. (TWO!?!?!) despite risk % set at 0.1% of balance.

Trade ended up at -330.

This will kill accounts.

Author can improve this EA with proven sets.

jude5508
48
jude5508 2025.08.15 20:27 
 

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