Fixing the riskmanagement

指定

Hello i have an ea which operates with 5% of my total portfolio. When i give it as a signal it trades only with the 5 percent which is 0.9 lots. If i sell it like a signal is gives the same lotsize to the clients who have less than my accountsize. Result is lotsize is too big and they get a margin call.. is there a possibility that the sigal can be calculated with the portfolio of die client and make an adjustable lotsize?  For example: i have 1000 euro account en open 0.9 short. Client has 500 euro account and it automatically opens 0.045 lot?

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