Grid Machine MT5
FREE
Pubblicato:
14 agosto 2020
Versione attuale:
1.3
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Hello Ivan,
Can you explain a bit about
Does it mean in points or pips?
Also, how does this expert open the initial order in the grid?
Thanks a lot.
Hello!
All parameters of the EA in points, including take profit, are indicated in 4-digit format, EA automatically translates to 5-digit format. Example: TakeProfit = 10, which means 10 points or 100 pips.
The first order in each direction(BUY/SELL) is opened according to the internal formula for calculating the volume on the instrument.
Thanks for your feedback!
Hi Ivan and thank you for this amazing EA. As a novice in trading, it is uncomlicated and perfect for my needs.
I have given a 5 star rating based on up to date use and i want to add it to a second chart.
Can you please advise me on how to do this? Is it just the comments section, along with new input parameters, that i change in order not to confuse orders on the different charts?
Thanks again
Hi Ivan and thank you for this amazing EA. As a novice in trading, it is uncomlicated and perfect for my needs.
I have given a 5 star rating based on up to date use and i want to add it to a second chart.
Can you please advise me on how to do this? Is it just the comments section, along with new input parameters, that i change in order not to confuse orders on the different charts?
Thanks again
Thank you for your feedback and your assessment of EA!
If you install the EA on the same currency pair on the second chart as on the first chart, you need to change the "MagicNumber" parameter (by default, the value is 199) in the advisor settings so that the advisors work separately from each other. If the currency pairs on the first and second charts are different, then the "MagicNumber" parameter can be left unchanged.
You can also specify different comments for the convenience of viewing opened/closed orders, but the "MagicNumber" parameter must necessarily be different with the same currency pairs.
The text for the grid panel is much larger than the panel so the text goes outside of the panel.
It would be nice to have just the text and not the panel. I changed the color of the panel to
the same color as the background but I can still see the grid borders.
The text for the grid panel is much larger than the panel so the text goes outside of the panel.
It would be nice to have just the text and not the panel. I changed the color of the panel to
the same color as the background but I can still see the grid borders.
Hello!
In future updates, I will make the panel more adadptive and informative, because EA had additional functions. Accordingly, I will also include your request in the capabilities of the advisor.
Thanks to the author for providing excellent works......👍👍👍
can u share the settings for this
Hi,
Can you please tell me how to configure the auto SL, I'm not able to do it.
Many thanks for your effort!
Olá Ivan,
Gostei do seu EA, queria saber se é possível uma mudança na abertura de uma nova ordem, na abertura de uma BUY por exemplo mercado vir contra em vez de abrir nova BUY abrir para SELL?
Hi,
Can you please tell me how to configure the auto SL, I'm not able to do it.
Many thanks for your effort!
You can limit the drawdown on orders using the "ModeDD" and "MaxDD" parameters. This can read more about these parameters in the EA description. I recommend testing the operation of these two parameters in the tester in order to understand the mechanics of their work.
Olá Ivan,
Gostei do seu EA, queria saber se é possível uma mudança na abertura de uma nova ordem, na abertura de uma BUY por exemplo mercado vir contra em vez de abrir nova BUY abrir para SELL?
If you mean opening an order by a reverse signal, then the EA cannot do this, because the mechanic of opening orders is based on the formed volume, in case of a reverse opening instead of BUY - SELL, and vice versa, this mechanic will be violated. But you can restrict the opening of new orders using the "NewOrdersBuy", "NewOrdersSell" parameters, so that at the moment you need one of the directions will not be opened.
I will now test it on a live account and see how it performs.
Hello!
To disable the multiplication of the next volume (martingale), you can set "mLot" parameter to 1.00, then the next volume will be multiplied by 1, therefore it will not increase. You can also limit the maximum volume of "MaxLot" parameter to the initial "Lot" volume, and EA will not open an order with a larger volume than the one set in "MaxLot".
Thanks for your feedback!
What do you mean by V75?
Default settings are designed for a deposit of $ 1000, but please keep in mind that you need to carefully calculate the risks, including those associated with the settings of your broker. Default settings are presented as an example, additional sets for the current market can be made by the trader himself.
Thanks for your feedback!
Hi Ivan,
I have install your EA 1 week ago, however there is no trade yet.
Can you please advise and guide me the proper settings.
Thanks
Hello Ivan,
EA closing grids as soon as grid achieved target profit - but swaps not respected.
So after long DD despite swaps exceeds profits EA closes grid (with losses equal accumulated swap).
Note info panel showing full (correct) profit/loss as swap + profit.
Assumingly if you include swaps Take Profit line must be adjusted at the beginning of each new day as soon as swap amounts recalculated by broker.
Hi Ivan,
I have install your EA 1 week ago, however there is no trade yet.
Can you please advise and guide me the proper settings.
Thanks
There is probably very little volatility on the instrument the EA is installed on.
The frequency of entries also depends on the market volatility and the set timeframe. To increase the frequency of entries, you need to re-optimize for a specific instrument or timeframe.
Hello Ivan,
EA closing grids as soon as grid achieved target profit - but swaps not respected.
So after long DD despite swaps exceeds profits EA closes grid (with losses equal accumulated swap).
Note info panel showing full (correct) profit/loss as swap + profit.
Assumingly if you include swaps Take Profit line must be adjusted at the beginning of each new day as soon as swap amounts recalculated by broker.
Hello!
The averaging mechanics is structured as follows.
When internal calculations of the volume and other parameters occur, an additional order is opened in the same direction, based on the calculation of the current profit, commission and swap. Takeprofit level is not recalculated every day for the reason that the take profit level in this case, as in your example, will be very far away and most likely will not close. In your example, you have specified a rather specific instrument "USDCNH", where the swap greatly exceeds the size of the take-profit, as such. In this particular case, it is imperative to re-optimize all parameters for this instrument, but I would recommend trading on instruments where the swap is minimal, like "EURUSD", "GBPUSD", etc.
As for the separate function for changing the take profit every day, I will think about it, maybe add it in a future build as a separate function that will be enabled/disabled from the settings.
Thanks for your feedback!