Expert Advisor based on Price Action with Risk Management features

仕事が完了した

実行時間3 日

指定

The idea for this trading system is as follows:

This is and "always in the market" type of system. Meaning that there is always an opened trade. Hence, market entries are performed whenever a new bar is created and there are no current opened trades.

The direction of the trade will depend on the previous bar direction and trades are closed whenever a bar closes in the opposite direction.

Trends, therefore, are determined by the previous bar direction and they continue until there is a new bar that closes in the opposite direction.

Trading Signals

Trading Signal:

For the 1st Trade or if the trend changes direction, the last bar direction is the signal.

If the previous bar was a green candle (closed upwards), it is a buy signal.

If it was a red candle (closed downwards), it is a sell signal. If it was an open=close, no new trade is performed.

Exits

The exits are performed if the candle changes color/direction relatively to the previous bar. Or if SL/TP are hit if they are activated- they should be optional inputs.

Lot sizing

Volume can be determined as: Fixed lots, from inputs. Or, as a risked percentage of the current balance.

How to measure risk

Lot Sizing Risk is based on the previous bar as follows:

For Buy orders: Risk = Open(current bar) - Low( previous bar)

For Sell Orders: Risk = High (previous bar) -Open (current bar)

Corner Cases:

For Buy signal: When Open (current bar) is lower than Low (previous bar), Risk = High (previous bar) - Low (previous bar)

For Sell signal: When Open (current bar) is higher than High (previous bar), Risk = High (previous bar) - Low (previous bar)

Therefore, having calculated the "risk" value, lot size shoud be calculated as:

lot = (risked% * current balance)/ Risk

The "Risked %" should be defined on the inputs if "Fixed lot" is false. Example:

Fixed Lots = False

Fixed Lot Size = 0.01

Risk = 0.01 (for 1% risk.)

Regarding SL and TP

SL, if activated from the inputs, should be set depending on the order type:

For Buy Orders: At the previous bar low - Current Spread.

For Sell Orders: At the previous bar High + Current Spread.

Corner cases:

For Buy signal: When Open (current bar) is lower than Low (previous bar), SL should be set on SL = Current Ask Price - (High (previous bar) - Low (previous bar)) - Current Spread.

For Sell signal: When Open (current bar) is higher than High (previous bar), SL = Current Bid Price + (High (previous bar) - Low (previous bar)) + Current Spread.

As For the Take Profit:

The Take Profit should be enabled or disabled from the inputs. And in case it is enabled, it should be set as a "double" multiple of the "Risk" called RR (as for Risk Reward) according to the previous detailed formula for risk.

Example: TP = true RR = 2 Which in this case, it would be 2 * Risk.

Symbol Considerations:

The Risk Management calculations should consider the Balance currency and the base and quote curriencies.

For example, if the Account currency is USD, it should calculate the risk accordingly whether the FX pair is EURUSD or USDJPY.

Also, if the Account currency is EUR, it should calculate the risk properly for the pair EURUSD or BTCEUR. Other non-forex pairs: NAS100, USA.30, NQ100, SPX500, US30 . These should be calculated in USD. For example, for BTC or EUR based account. For the rest, as a default, they should be considered as in USD.

I'm open to suggestions from the developer.

応答済み

1
開発者 1
評価
(65)
プロジェクト
71
30%
仲裁
8
0% / 88%
期限切れ
5
7%
2
開発者 2
評価
(361)
プロジェクト
643
26%
仲裁
92
72% / 14%
期限切れ
12
2%
仕事中
パブリッシュした人: 1 code
3
開発者 3
評価
(208)
プロジェクト
297
54%
仲裁
0
期限切れ
1
0%
パブリッシュした人: 6 codes
4
開発者 4
評価
(618)
プロジェクト
1428
59%
仲裁
31
81% / 0%
期限切れ
10
1%
5
開発者 5
評価
(23)
プロジェクト
45
20%
仲裁
25
28% / 48%
期限切れ
12
27%
6
開発者 6
評価
(58)
プロジェクト
76
33%
仲裁
9
78% / 11%
期限切れ
7
9%
パブリッシュした人: 2 codes
7
開発者 7
評価
(271)
プロジェクト
553
50%
仲裁
57
40% / 37%
期限切れ
227
41%
仕事中
8
開発者 8
評価
(96)
プロジェクト
143
76%
仲裁
0
期限切れ
2
1%
9
開発者 9
評価
(574)
プロジェクト
945
47%
仲裁
309
58% / 27%
期限切れ
125
13%
10
開発者 10
評価
(11)
プロジェクト
21
52%
仲裁
1
100% / 0%
期限切れ
1
5%
11
開発者 11
評価
(69)
プロジェクト
146
34%
仲裁
13
8% / 62%
期限切れ
26
18%
パブリッシュした人: 6 codes
12
開発者 12
評価
(87)
プロジェクト
114
26%
仲裁
7
29% / 57%
期限切れ
5
4%
類似した注文
We have developed highly efficient bot which has made over 1600% in last 3 months. Yes Its true and live verified Fxbook results are available. Price is little bit high but totally worth the system and we have few copies soon we will stop its sale . ; Everyone who is interested in bot or interestes to resell it and wants comission both are welcome. . Its name is Celestial Strike fxbook.. You will find out . . In
The Advisor should stop trading if the spread exceeds a selected value. Source code is unavailable. Decompilation may be necessary or any other suggested working solution may be acceptable. Testing should be thorough with proven demonstrable results
I want a forex robot to do my trading because i am a new born trader. A ai trading robot is the best and i am look for one please
I am looking for developer who can create custom price alert indicator for MT5. The function of alerts in MT5 is fine but it does not allow setting custom sounds for specific charts with ease. For example, one can attach custom sound to new price alert, but if you use a lot of alerts daily (which i do) and want to have each ticker/pair to have its own sound alerts it gets too time consuming. I am looking for
i want help on puting my ea in mql5 for sale, help for 10percentage on every sales a higher profit scalper on gold 5minute trader non martingale none hedging mt4 version
Alphapipfx 30+ USD
Sniper Strategy EA -Presicion Forex Trading Bot for MT4 and MT5 Sniper Strategy EA is a fully automated Expert Advisor that executes high-probability forex trades using EMA 50/200 trend detection, RSI 14 momentum filtering, and automatic Support and Resistance zone identification. This bot does not chase price — it waits for price to come to key levels and confirms with multiple indicators before entering, just like
We are looking for a Prop Firm Operations & Technology Manager to help us creating our risk and technology infrastructure for our new prop firm. This is a key role for someone who understands both trading infrastructure and day-to-day prop firm operations . You will be responsible for managing the systems, platforms, configurations, and workflows that keep the firm running smoothly, while also helping us scale
I already have an MT5 trading bot called Omega Bot and I am looking for a marketer / seller who can help me find real buyers. Commission: 100 USD per successful sale Bot details: - MT5 only - Gold and Silver - M15 - ORB strategy - Asia and New York sessions - Automatic risk management - Break-even - Trailing stop - Spread filter - Beginner friendly - Ready settings file - Trial version available - Support after sale
I want to find a Developer to perform this work and settle payments in this Application. I undertake not to communicate with Applicants anywhere else except this Application, including third-party
Hi guys I’m looking for a coder who’s experienced in one script. The candidate must be familiar with fractals and self similarity. If you can’t code self similarity, please don’t bother contacting me ( respectfully). I just don’t want us to waste each others time. My budget is 100$. If that’s too low for you please, don’t contact me. Only contact me if you can code self similarity and can accept 100$. I will provide

プロジェクト情報

予算
30 - 100 USD
締め切り
最高 10 日