TrendArrowPro

  • Indicateurs
  • Kohei Takahashi
    Kohei Takahashi
    MQL5 developer focused on verified, test-driven delivery.
    I build MetaTrader 5 Expert Advisors, indicators and utilities with an
    engineering-first workflow:
    - Published on MQL5 Market — 6 products: a news-event risk utility,
  • Version: 1.0
  • Activations: 10
TrendArrow Pro - une règle d'entrée en repli que vous pouvez vérifier

CE QU'IL FAIT
Une flèche n'apparaît que si trois conditions concordent :
1. Tendance. La moyenne de l'unité supérieure doit être inclinée ET l'ADX
   au-dessus de votre seuil. Un marché en range ne produit aucune flèche.
2. Repli. Le prix doit revenir dans une bande ATR autour de la moyenne.
3. Déclencheur. Le RSI ressort de sa bande ou l'histogramme MACD change de
   signe - à votre choix, ou les deux.
En option, le dernier swing confirmé doit concorder et la bougie ne doit pas
tomber dans une fenêtre de publication. Chaque flèche porte un stop et un
objectif en multiples d'ATR, exposés en buffers pour lecture par un EA.

NE REPEINT PAS - ET VOUS POUVEZ LE VÉRIFIER
Tout est évalué sur des bougies CLÔTURÉES. L'unité supérieure est lue sur des
bougies déjà clôturées à cet instant : c'est précisément là que la plupart des
outils multi-unités commencent discrètement à bouger. Le coût est au maximum une
bougie supérieure de fraîcheur.

LE PANNEAU MESURE SES PROPRES FLÈCHES
La plupart des outils annoncent un taux de réussite dans la description et n'en
montrent aucun sur le graphique. Celui-ci le calcule devant vous : il suit chaque
flèche dans une fenêtre glissante, détermine si le stop ou l'objectif est arrivé
en premier, et affiche le nombre, le taux de réussite, le facteur de profit et le
R moyen - avec le spread que VOTRE courtier a enregistré sur chaque bougie, plus
la commission que vous saisissez. Si une même bougie contient stop et objectif,
le stop est supposé touché en premier : les données en bougies ne permettent pas
de trancher, et supposer le favorable est la façon dont on fabrique de la fiction.

FILTRE D'ÉVÉNEMENTS
4101 publications intégrées (2005-01-07 à 2028-12-07), étiquetées par devise et appariées
automatiquement au symbole :
FOMC, NFP, US_CPI, ECB, BOE, GB_CPI, BOJ, RBA, RBNZ, BOC, CH_CPI, EIA_CRUDE, USD_JOBLESS, US_RETAIL_SALES, AUCTION_LONG.
Indiquez combien de minutes avant et après une publication l'outil doit se taire.
En réel, le calendrier du terminal prolonge le programme ; les backtests
n'utilisent que le programme intégré, pour rester reproductibles.

ALERTES
Popup, son, e-mail et push, chacun activable. Une alerte par bougie clôturée.

PRÉRÉGLAGES
Gold_H1 / FXMajors_H1 (départ) / Indices_M30 / Swing_H4 / NewsAvoid_Strict.
Ce sont des points de départ de réglage, pas des entrées recommandées.

CE QUE CE N'EST PAS
Ce n'est pas un système de trading et il ne prédit rien. Le panneau montre le
comportement passé sur les cotations de votre courtier ; le passé n'est pas une
prévision.

PRÉREQUIS
MetaTrader 5, tout symbole et toute unité de temps. 40 paramètres. Pas de DLL,
pas de fichier externe, pas d'accès internet.
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A scalping indicator based on mathematical patterns, which on average gives signals with relatively small SL, and also occasionally helps to catch big moves in the markets (more information in the video) This indicator has three main types of notifications: The first type warns of a possible/upcoming signal on the next bar The second type indicates the presence of a ready signal to enter the market/open a position The third type is for SL and TP levels - you will be notified every time price re
Индикатор Coefficient Of Determination (COD) представляет собой значение коэффициента детерминации или квадрат коэффициента корреляции между зависимой переменной — ценой и объясняющей переменной — тиковым объемом. Что это дает нам на практике? COD отлично распознает кульминацию трендовых движений, что позволяет подбирать оптимальные точки и ловить развороты рынка. Как использовать индикатор: Наиболее популярная торговая стратегия строится совместно с трендовым индикатором Moving Average (MA), пе
Recommended TimeFrame >= H1. 100% Non Repainted at any moment.  Use it carefully, only with Trend Direction. Trading Usage: 2 Variants: as Range System or as BreakOut System (Both Only With Trend Direction)::: (Always use StopLoss for minimise Risk); [1] as Range System: (Recommended) in UP TREND:  - BUY in Blue Line , then if price goes down by 50 points (on H1) open Second BUY.   Close in any Profit you wish: TrailingStop(45 points) or Close when Price touches upper Gold Line. in DOWN TREND
Spike Detector
Tete Adate Adjete
this indicator is a Spike detector indicator, it is specially designed to trade Boom 1000, Boom 500, Crash 1000 and Crash 500 We recommend using it on Deriv Boom and Crash indices only Its setting is intuitive, familiar, easy to use it has notification functions; audible notifications and push notifications. this tool is simple to use, easy to handle This update is based on different strategies for spikes
Limitless MT5
Dmitriy Kashevich
Limitless MT5 is a universal indicator suitable for every beginner and experienced trader. works on all currency pairs, cryptocurrencies, raw stocks Limitless MT5 - already configured and does not require additional configuration And now the main thing Why Limitless MT5? 1 complete lack of redrawing 2 two years of testing by the best specialists in trading 3 the accuracy of correct signals exceeds 80% 4 performed well in trading during news releases Trading rules 1 buy signal - the ap
QuantXSTocks Trading Range Indicator for MT5: INSTRUCTIONS TO USE OUR INDICATOR:- User needs to take trade on Arrow or after an Arrow CandleStick, You can achieve up-to 35-125 pips target by this Indicator. Best Timeframes for Stocks and Indices are M30 and H1: AMAZON M30 (50 pips) TESLA M30 (50 pips) APPLE M30 (50 pips) ADOBE M30 (50 pips) NASDAQ100 H1 (125 pips) The above are the approximate amount of pips you can achieve by this Indicator, Green arrow appears to be buy arrow while the Red ar
Trend and Signals MT5  indicator scans  30 trading Instruments (Forex, Metals and Indices).     It uses special algorithm on the  current market   based on   Pure Price Action   and display the overall trend and signal on the dashboard. When signals are produced the indicator sends alert and notification. Strategy for Signals This indicator uses the daily timeframe to determine the direction of the trend. The hourly timeframe is used to identify possible entries. Main trend and is determined by
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EventCalendar Lite - compte à rebours gratuit jusqu'à la prochaine publication CE QU'IL FAIT Il marque les publications économiques programmées sur le graphique et décompte le temps jusqu'à la prochaine susceptible de faire bouger le symbole affiché. Rien de plus : il ne trade pas, ne trace aucun signal et ne prédit rien. CE QU'IL CONTIENT 2084 publications intégrées (2019-01-03 à 2028-12-07), chacune étiquetée par sa devise : FOMC, NFP, US_CPI, US_RETAIL_SALES, USD_JOBLESS, EIA_CRUDE, AUCTIO
FREE
StructureScope - la structure du graphique, tracée une fois confirmée CE QU'IL TRACE   Structure      BOS et CHoCH, étiquetés au niveau cassé.   Order blocks   La dernière bougie opposée avant l'impulsion qui a cassé                  la structure. Ombrée tant qu'elle n'est pas mitigée.   FVG            Déséquilibres de trois bougies non comblés. Les comblés                  sont supprimés plutôt que laissés en encombrement.   Liquidité      Sommets et creux égaux, avec tolérance en ATR.   Sess
EventBurst
Kohei Takahashi
EventBurst - trade la première heure après la décision de la Fed CE QU'IL FAIT Rien n'est placé avant la publication. Lorsque la Fed publie sa décision, l'EA mesure le mouvement de cette heure et, s'il est suffisamment ample, entre à l'ouverture de l'heure SUIVANTE dans le sens du mouvement. Stop fixe, objectif 2,5R, sortie en temps après quatre heures. POURQUOI LA BOUGIE SUIVANTE Être exécuté à l'instant même de la publication est hors de portée en pratique : le spread s'élargit et le prix e
EventStraddle - cassure bidirectionnelle autour des publications CE QU'IL FAIT Quelques minutes avant une publication, l'EA place un buy stop et un sell stop autour du prix, conserve le côté que le marché franchit, annule l'autre et accompagne la position par un stop suiveur basé sur l'ATR. Le reste du temps, il ne trade pas. FONCTIONNEMENT 1. 15 minutes avant, il lit l'ATR(H1,14) et place les deux ordres à +/- 1,0 ATR. 2. Le stop de chaque ordre est à 2,0 ATR de son entrée. 3. Dès qu'un côté
News Risk Guard protects the positions you already hold when a scheduled economic release is about to hit. It is a risk tool. It does not predict direction, it does not look for entries of its own, and it makes no claim about profit. The calendar is built into the product: 4,101 releases covering 15 recurring events. No internet permission, no DLL, no file to install, and it behaves the same in the Strategy Tester as it does on a live chart. WHAT IT DOES 1. Event protection window    A confi
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