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Hi All,
Strategy required to be coded.
Indicators: 3 x EMA
Constraints: Market days and hours.
Timeframes: Must be able to work on multiple timeframes according to the instrument and chart it is applied to.
Money Management: Stop loss based on EMA (trailing). Position size to be calculated per distance from entry to stop as a % of account NAV. Take profit optional.
Triggers: Two conditions will be specified
Entry: Based on close of a candle after all previous triggers have been met.
Ability to long and short.
Code must be well commented so I know where i can make minor adjustments.
FURTHER DETAIL WILL BE PROVIDED TO SUCCESSFUL BIDDER.
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