Specifiche
Hello Dear Coders ,
Here is a strategy with calculations on a specific bar ,sould be implemented carefully. Calculation on the bar needs math at some degree . trade numbers and trade results should be written right below the specific bar .
Vague points should be cleared before starting coding. below is the %80 of full strategy and its explanations , the full will be given after selecting developer.
POSITIONS ON A SPECIFIC BAR
Upper Tail Ratio : 50 (%) Upper Tail Ratio to the length of Bar
Lower Tail Ratio : 50 (%) Lower Tail Ratio to the length of Bar
Positive Body Ratio : 200 (%) %200 of total length of Upper Tail. This must be a positive green bar because price of the asset's value increased.
BodyUpper Ratio : 50 (%) That is the total length of Body and Upper Tail to the length of Bar
Max position : 2 (Maximum number of position at a time)
To open a buy position 4 conditions on the specific bar must be met at the same time :
1.Upper Tail Ratio_For_Buy should be "smaller" than %50 and 2. Lower Tail Ratio_For_Buy should be "bigger" than %50 and
3.Positive Body Ratio should be "bigger" than %200 and 4. BodyUpper Ratio should be "smaller" than %50 ) ,
Just as the specific bar closes with conditions above ,then open a buy position
Closing with Absolute Loss
SL : 100 points
SL_at End_of_The_bar : Closes Position in stoploss with the lowest price of the Specific Bar
Trailing Start at SL level : Yes/No
Trailing Step : 10
Note : there are two trailing stop loss function as you see above , they can run both or none or one of them ,
Important : New positions should not be opened 1 hour before closing markets , and 1 hour before NY session , 1 hour after NY session starts it can open trades.
TP and SL values should not be seen on terminal by broker
On chart write a trade number in order (sequentely) right below the opened bar starting from 1 and trade result .
So that i can see on which bar the position opened and result of the position (lost 100 pips etc)
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