指定

I need an ea that work in 2 correlated pairs.The goal of the ea is open as much lot as possible without too risky and with a manager drawdown. The ea must Open opposite positions on two correlated pairs, then add additional lots to recover the drawdown while maintaining strict control over risk.

-Use real-time correlation between the two pairs to dynamically adjust lots and recover the drawdown. Find a way to close the positions in profit or break even and adjust in the other pair the drawdown , for example in the night in the asian session with low volatility

応答済み

1
開発者 1
評価
(292)
プロジェクト
469
39%
仲裁
101
41% / 23%
期限切れ
77
16%
取り込み中
パブリッシュした人: 2 codes

プロジェクト情報

予算
40 - 140 USD
締め切り
最高 10 日