Aegis Risk Sentinel

Aegis Risk Sentinel MT5

Aegis Risk Sentinel est un utilitaire professionnel de gestion des risques et de protection de capital en temps réel développé nativement pour MetaTrader 5. Conçu pour les traders de sociétés de prop trading (Prop Firms), les gestionnaires de fonds et les day traders, Aegis applique une discipline mathématique stricte sur votre compte de trading afin d'éviter les drawdowns excessifs, le trading émotionnel et les appels de marge.

L'utilitaire intègre un tableau de bord graphique (HUD) sur le graphique, ultra-réactif et conçu sans aucune bibliothèque externe (zéro DLL). Il audite en continu les métriques du compte à des intervalles de l'ordre de la sous-seconde et met à disposition des boutons de gestion d'urgence en un clic.

Fonctionnalités Principales

  1. Protection de la Perte Journalière Maximale Surveille l'évolution de l'équité par rapport à la valeur de départ de la journée (réinitialisation automatique à minuit heure du courtier). Si la perte quotidienne atteint le seuil défini (ex. 4.0%), Aegis clôture instantanément toutes les positions ouvertes, supprime les ordres différés et verrouille le compte jusqu'à la session suivante.

  2. Verrouillage de l'Objectif de Profit Journalier Sécurise les gains accumulés dès que l'objectif de gain de la journée est atteint, évitant de restituer les bénéfices lors des retournements de marché.

  3. Garde-Fou du Drawdown Global Maximum Protège le capital total contre les drawdowns flottants critiques par rapport au solde. Essentiel pour réussir les évaluations prop trading (FTMO et similaires).

  4. Sentinelle du Niveau de Marge Surveille le niveau de marge en temps réel. Émet des alertes sonores et visuelles dès que la marge franchit un seuil critique, avec l'option de clôturer automatiquement la position la plus déficitaire.

  5. Trailing Stop Global sur Panier d'Ordres Ajuste dynamiquement un niveau de stop suiveur sur l'ensemble des positions ouvertes en valeur monétaire.

  6. Tableau de Bord Graphique (HUD) Interactif Affiche le solde, l'équité, les gains/pertes flottants, la performance quotidienne, le niveau de marge et le volume total en lots. Comprend des commandes d'urgence :

    • Panic Close All : Clôture instantanée de l'ensemble des positions et annulation des ordres différés.
    • Close In Profit : Clôture exclusive des positions actuellement positives.
    • Toggle Sentinel Lock : Verrouillage ou déverrouillage manuel de la sentinelle de risque.
    • Minimiser le HUD : Bascule en mode barre d'état compacte.

Paramètres d'Entrée

Gestion du Risque Journalier

  • Enable Daily Loss Limit : Active ou désactive le plafond de perte journalier.
  • Max Daily Loss (%) : Perte journalière maximale autorisée (% de l'équité initiale du jour).
  • Enable Daily Profit Target : Active l'objectif de profit journalier.
  • Daily Profit Target (%) : Pourcentage cible de gain journalier.
  • Action on Daily Limit Hit : Action lors du déclenchement du seuil (Alerte seule, Clôturer tout, Clôturer tout et verrouiller).

Protection contre le Drawdown Maximum

  • Enable Total Floating Drawdown Guard : Active la protection contre le drawdown flottant global.
  • Max Total Floating DD (%) : Drawdown flottant maximal autorisé (% du solde).
  • Action on Max DD Violation : Action exécutée en cas de dépassement du drawdown.

Sentinelle de Marge

  • Enable Margin Sentinel : Active la surveillance du niveau de marge.
  • Minimum Allowed Margin Level (%) : Niveau de marge minimal toléré (ex. 150.0%).
  • Close Worst Position on Margin Warning : Clôture automatique de la pire position en cas d'alerte de marge.

Trailing Stop de Panier

  • Enable Basket Trailing Equity Lock : Active le stop suiveur sur l'équité globale.
  • Basket Profit to Activate ($) : Montant de gain pour amorcer le trailing stop.
  • Basket Trail Step ($) : Pas de recul du trailing stop en devise de compte.

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