Frank William Jr Colbert / プロファイル
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4 年
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26
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0
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私は、私個人のトレーディングとリスク管理の好みに合致する一連のルールに対する市場の動きと反応に基づいた、異なるアプローチの取引を考えました。これらの特定のルールと設定環境の下で、これらの外国為替ペアはどのように動き、そこからどのようなパフォーマンス上の優位性を発見できるでしょうか。これらの環境条件下でこれらのペアを取引する際の強みと弱みは何でしょうか。私は、取引をセットアップし、さまざまな戦略やEAの広範なネットワークを簡単に分析・レビューして、市場パフォーマンスのみを最適化した生の取引パフォーマンスのポートフォリオを構築するための、いくつかのツールとユーティリティを考え出しました。
Echo Simulator Trader v3 expands the simulation engine of v2 with 5 independent Property Sets (P1–P5). Each set can run on its own timeframe, magic number, position limits, and pip-interval grid logic — allowing you to test and run completely different strategies simultaneously within one EA. Simulated trades feed into a unified performance analyzer that decides which strategies graduate to real trading. With enhanced multi-magic support, pip-based round-level entries (mean reversion or
Echo Simulator Trader v2 expands the simulation engine of v1 hybrid simulation-to-live EA that runs thousands of pure price-actions simulated trades in parallel with specified day and time. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built
Echo Simulator Trader is a powerful hybrid simulation-to-live EA that runs thousands of pure price-action simulated trades in parallel with your live account. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built for complete control and
Echo Simulator Trader v3 expands the simulation engine of v2 with 5 independent Property Sets (P1–P5). Each set can run on its own timeframe, magic number, position limits, and pip-interval grid logic — allowing you to test and run completely different strategies simultaneously within one EA. Simulated trades feed into a unified performance analyzer that decides which strategies graduate to real trading. With enhanced multi-magic support, pip-based round-level entries (mean reversion or
Echo Simulator Trader v2 expands the simulation engine of v1 hybrid simulation-to-live EA that runs thousands of pure price-actions simulated trades in parallel with specified day and time. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built
Echo Simulator Trader is a powerful hybrid simulation-to-live EA that runs thousands of pure price-action simulated trades in parallel with your live account. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built for complete control and
A Expert Advisor that automatically opens trades when price crosses predefined pip-based round levels. Unlike simple round number EAs that only trade on psychological levels like 1.1000 or 1.2000, this EA allows you to define up to five independent pip intervals simultaneously, each with its own Magic Number for separate tracking and management.
The EA functions as a complete trading system, combining automated entry based on price crossing round levels, directional control, integrated trailing stop-loss and take-profit, end-of-day profit closing, and Friday exit protection. This creates a fully automated mean reversion or breakout strategy depending on configuration.
A Expert Advisor that automatically opens trades when price crosses predefined pip-based round levels. Unlike simple round number EAs that only trade on psychological levels like 1.1000 or 1.2000, this EA allows you to define up to five independent pip intervals simultaneously, each with its own Magic Number for separate tracking and management. The EA functions as a complete trading system, combining automated entry based on price crossing round levels, directional control, integrated trailing
Have patterns that drive your trading success or failure. The Equity Performance Analyzer breaks down your trade history by symbol, day of the week, and hour of entry to identify exactly when your strategies perform best and worst. It ranks every possible trading pattern (e.g., "EURUSD-BUY-Mon-14") by Net Profit, Win Rate, Return/Drawdown, and a Monte Carlo Proxy. More than just an analytics tool, it generates ready-to-use input parameters for your EAs and a crucial "Worst Patterns to Avoid" section, turning historical data into a strategic roadmap.
Key Features:
Granular Pattern Analysis: Creates and ranks patterns based on Symbol, Trade Direction, Weekday, and Hour of OPEN time.
Multi-Metric Ranking: Sorts patterns by Net Profit, Win Rate, Return/Drawdown Ratio, and a unique Monte Carlo Proxy (Net * (1 + Trades*0.01)).
Smart Parameter Generator: Automatically builds "PermittedSymbols," "BuySellOnly," and daily "TradingTimes" (Mon-Fri) parameters based on top-performing patterns.
Avoid Parameters Section: Explicitly identifies and lists the worst-performing patterns to avoid or trade against, including combined "AVOID" parameter sets.
Comprehensive HTML Report: Delivers a color-coded report with multiple data groups (Profit/Loss by Day/Hour, Currency Pair Performance, Ranked Patterns, and Recommended Parameters).
Magic Number Filtering: Focus analysis on specific EAs or strategies using comma-separated Magic Numbers or ranges (e.g., "3001-3016").
Effective Uses:
EA Configuration: Directly copy the generated "BUY Parameters" or "COMBINED Parameters" into your Expert Advisor to restrict trading to historically profitable times and symbols.
Avoiding Losses: Use the "Worst Patterns to Avoid" section to programmatically block your EA from trading during specific high-loss windows or on certain pairs.
Opposite Trading: The tool recommends considering opposite signals for consistently losing patterns, providing a framework for counter-trend strategies.
Backtest Validation: After a backtest, run the analyzer to see if the EA's success is concentrated in specific patterns, confirming its logical consistency.
Have patterns that drive your trading success or failure in MT5. The Equity Performance Analyzer breaks down your trade history by symbol, day of the week, and hour of entry to identify exactly when your strategies perform best and worst. It ranks every possible trading pattern (e.g., "EURUSD-BUY-Mon-14") by Net Profit, Win Rate, Return/Drawdown, and a Monte Carlo Proxy. More than just an analytics tool, it generates ready-to-use input parameters for your EAs and a crucial "Worst Patterns to
A basic entry and position management EA that opens trades on multiple currency pairs at specific times. It includes its own internal trailing stop and take-profit logic, as well as integrated "end-of-day" and "Friday" profit-close features from the other scripts.
Features:
Opens trades on user-defined `PairsSet1` through `Set6` at specific `TradeTime` inputs.
Configurable position sizing (`Lots`), Stop Loss, and Take Profit.
Includes its own `TrailOrders` function that trails both SL and TP based on `ProfitMove` steps.
Embeds the `DayProfitClose` and `ExitOnFriday` modules internally.
Limits total open positions and positions per pair.
Effective Uses:
Time-Based Strategy: Create a simple "opening range breakout" or "session starter" that places a buy and sell at 8:00 AM every day.
Basic Backtesting Template: Test a simple strategy concept (time entry, fixed SL/TP, trailing stop) without complex logic.
Trading tool combining a sophisticated equity stop-loss, dynamic take-profit management (Breakeven & Trailing), and symbol-group-based closing logic. It is a complete risk management and trade supervision tool.
Features:
All features of `Equity Master Stop v1` (floating profit/loss limits, exit protection, skip hours).
Take-Profit Override: Can force a TP on any order to lock in a `MAX_FLOATING_PROFIT`.
Step Breakeven: Locks in increasing amounts of profit as a trade moves favorably (e.g., after $1 profit, lock in $0.50).
Trailing Take-Profit: Dynamically moves the TP level closer to price as profit increases.
Symbol Group Management: Defines `SYMBOLS_SET1` and `SET2` to close all trades in a group based on the *group's* total P&L, not individual trades.
Filtering: Can filter by Magic Number or Comment, ignoring trades that don't match.
Effective Uses:
Master Risk Manager: Place on one chart to manage *all* other EAs running on an account. Use profit/loss limits for symbol groups.
Advanced Position Management: Use the Step Breakeven and TP Trailing to manage positions opened by a simple entry-only EA, turning it into a sophisticated runner.
Portfolio Hedging: Define SET1 as longs and SET2 as shorts. If the net profit of all longs hits a loss limit, close them all while leaving shorts open.
An advanced equity protection and trade management script. It monitors individual trade P&L and closes positions when floating equity targets (profit or loss) are met. It features a sophisticated "exit protection" system that blocks closing during high volatility, wide spreads, or price instability.
Features:
Closes trades at a target profit (`MAX_FLOATING_EQUITY`) or maximum loss (`MAX_FLOATING_LOSS`).
Includes a `FORCE_CLOSE_AT_MAX_EQUITY` level that bypasses all exit protection checks.
"SKIP_CLOSING_HOURS" input to pause loss-based closures in unfavorable market conditions (e.g., during rollover).
Effective Uses:
Global Equity Stop: Act as a master circuit breaker for a portfolio of many EAs. If floating loss hits -$100, close Trade.
Profit Runner Management: Force close a single trade when it reaches a specific profit target (e.g., $2.00).
A time-based position expiration system that moves trades to a "watch list" after they reach a certain age. It does not close them immediately but waits for them to hit a profit target (or loss target) before exiting.
Features:
Global and Magic-specific expiration periods (format: HH:MM:SS).
Tracks expired trades separately and only closes them when a `MIN_PROFIT_CLOSE` target is met (or loss target if "Close Only Profitable" is false).
Includes a manual control and statistics reporting functions (`GetExpiredOrdersSummary`, `ForceCheckExpired`).
Can also delete pending orders on expiration.
Effective Uses:
Aging Off Trades: Force a trade to close only after 30 days if it hasn't hit its target, but only if it becomes profitable.
Scalping Expiration: For a scalping EA, use a short Magic expiration (e.g., 60 minutes). If a trade isn't closed in profit by then, this EA will wait for it to hit a small profit target before exiting.
Capital Preservation: Prevent trades from staying open indefinitely and tying up margin.
A basic entry and position management EA that opens trades on multiple currency pairs at specific times. It includes its own internal trailing stop and take-profit logic, as well as integrated "end-of-day" and "Friday" profit-close features from the other scripts.
Features:
Opens trades on user-defined `PairsSet1` through `Set6` at specific `TradeTime` inputs.
Configurable position sizing (`Lots`), Stop Loss, and Take Profit.
Includes its own `TrailOrders` function that trails both SL and TP based on `ProfitMove` steps.
Embeds the `DayProfitClose` and `ExitOnFriday` modules internally.
Limits total open positions and positions per pair.
Effective Uses:
Time-Based Strategy: Create a simple "opening range breakout" or "session starter" that places a buy and sell at 8:00 AM every day.
Basic Backtesting Template: Test a simple strategy concept (time entry, fixed SL/TP, trailing stop) without complex logic.
A Expert Advisor that automatically opens trades when price crosses predefined pip-based round levels. Unlike simple round number EAs that only trade on psychological levels like 1.1000 or 1.2000, this EA allows you to define up to five independent pip intervals simultaneously, each with its own Magic Number for separate tracking and management.
The EA functions as a complete trading system, combining automated entry based on price crossing round levels, directional control, integrated trailing stop-loss and take-profit, end-of-day profit closing, and Friday exit protection. This creates a fully automated mean reversion or breakout strategy depending on configuration.
Key Features
Multi-Level Pip Interval Trading
Configure up to five independent pip intervals (10, 20, 30, 40, 50 pips) each with its own enable/disable toggle and unique Magic Number. The EA calculates round levels as multiples of your specified pip interval. When price crosses any calculated level, a trade is triggered.
Directional Control
Four independent toggles allow you to control trade direction precisely. Open LONG Above means buy when price crosses a level upward. Open LONG Below means buy when price crosses downward. Open SHORT Above means sell when price crosses upward. Open SHORT Below means sell when price crosses downward. This allows mean reversion strategies (trade against the cross) or breakout strategies (trade with the cross).
Risk Management Controls
Includes fixed lot size, stop loss distance in pips, take profit distance in pips, maximum long positions per pair, maximum short positions per pair, global maximum open trades limit, and slippage control.
Built-in Trailing System
Complete trailing stop and trailing take-profit system with three parameters. Profit Move sets the profit threshold in pips before trailing activates. Trail Stop Loss determines how much to move SL per profit step. Trail Take Profit determines how much to move TP closer per profit step.
End-of-Day Profit Closing
Enable daily profit closing with minimum profit threshold in dollars. Set the closing time of day. Only profitable trades are closed. Losing trades remain open, allowing them to potentially recover.
Friday Exit Protection
Enable Friday exit with separate Friday profit threshold. Set Friday closing time. Ensures no positions are held over the weekend, protecting against gap risk.
Multi-Symbol Support
Trade up to six symbol sets simultaneously. Each set accepts comma-separated symbol names like EURUSD,GBPUSD.
Effective Uses
Mean Reversion Grid Strategy
Configure with Open LONG Above false, Open LONG Below true, Open SHORT Above true, Open SHORT Below false. When price crosses a level upward, a SELL order triggers expecting reversal down. When price crosses downward, a BUY order triggers expecting reversal up. Best for ranging markets and high-probability scalping.
Breakout Momentum Strategy
Configure with Open LONG Above true, Open LONG Below false, Open SHORT Above false, Open SHORT Below true. When price breaks upward through a level, a BUY order triggers expecting momentum continuation. When price breaks downward, a SELL order triggers. Best for trend-following and news-driven markets.
Multi-Layer Scalping Grid
Enable all five intervals simultaneously with different Magic Numbers. Use 10, 20, 30, 40, and 50 pip intervals. Enable all four direction toggles. Different Magic Numbers allow separate trailing or closing rules for each layer. Best for advanced grid trading and portfolio diversification across timeframes.
End-of-Day Profit Capture
Enable DAY_PROFIT_CLOSE with PROFIT_CLOSE_MG at 1.00. Set ProfitCloseTime to 23:00. Enable ExitOnFriday with FridayExitTime at 22:00. Every day at 23:00, all profitable trades close locking in at least one dollar profit. Losing trades continue overnight. Friday at 22:00, all trades close regardless of profit or loss. Best for daily trading systems and avoiding overnight risk on losers.
Cryptocurrency Grid for High Volatility
Use larger intervals for volatile crypto pairs like BTCUSD and ETHUSD. Set PIP_Intervals to 100 pips. Use StopLoss and TakeProfit at 2000 pips. Set ProfitMove to 500 pips for trailing activation. Configure MaxLongPositionPerPair at 3 and MaxShortPositionPerPair at 3. Each 100-pip level acts as an entry point creating a grid of positions that capture volatility.
Example Trade Scenarios
10-Pip Mean Reversion on EURUSD at 1.1050. Ten-pip levels exist at 1.1040, 1.1050, 1.1060, and 1.1070. Price moves up from 1.1055 to 1.1062 crossing 1.1060 upward. EA triggers a SELL order expecting reversal back down. Stop Loss is 20 pips above entry. Take Profit is 20 pips below entry. Trailing activates after 10 pips profit.
20-Pip Breakout on GBPUSD at 1.3000. Twenty-pip levels exist at 1.2980, 1.3000, 1.3020, and 1.3040. Price breaks up from 1.3015 to 1.3025 crossing 1.3020 upward. EA triggers a BUY order expecting continued breakout. If price continues to 1.3040 crossing the next level, EA opens another BUY scaling into the position.
Trading tool combining a sophisticated equity stop-loss, dynamic take-profit management (Breakeven & Trailing), and symbol-group-based closing logic. It is a complete risk management and trade supervision tool.
Features:
All features of `Equity Master Stop v1` (floating profit/loss limits, exit protection, skip hours).
Take-Profit Override: Can force a TP on any order to lock in a `MAX_FLOATING_PROFIT`.
Step Breakeven: Locks in increasing amounts of profit as a trade moves favorably (e.g., after $1 profit, lock in $0.50).
Trailing Take-Profit: Dynamically moves the TP level closer to price as profit increases.
Symbol Group Management: Defines `SYMBOLS_SET1` and `SET2` to close all trades in a group based on the *group's* total P&L, not individual trades.
Filtering: Can filter by Magic Number or Comment, ignoring trades that don't match.
Effective Uses:
Master Risk Manager: Place on one chart to manage *all* other EAs running on an account. Use profit/loss limits for symbol groups.
Advanced Position Management: Use the Step Breakeven and TP Trailing to manage positions opened by a simple entry-only EA, turning it into a sophisticated runner.
Portfolio Hedging: Define SET1 as longs and SET2 as shorts. If the net profit of all longs hits a loss limit, close them all while leaving shorts open.
An advanced equity protection and trade management script. It monitors individual trade P&L and closes positions when floating equity targets (profit or loss) are met. It features a sophisticated "exit protection" system that blocks closing during high volatility, wide spreads, or price instability.
Features:
Closes trades at a target profit (`MAX_FLOATING_EQUITY`) or maximum loss (`MAX_FLOATING_LOSS`).
Includes a `FORCE_CLOSE_AT_MAX_EQUITY` level that bypasses all exit protection checks.
"SKIP_CLOSING_HOURS" input to pause loss-based closures in unfavorable market conditions (e.g., during rollover).
Effective Uses:
Global Equity Stop: Act as a master circuit breaker for a portfolio of many EAs. If floating loss hits -$100, close Trade.
Profit Runner Management: Force close a single trade when it reaches a specific profit target (e.g., $2.00).
A time-based position expiration system that moves trades to a "watch list" after they reach a certain age. It does not close them immediately but waits for them to hit a profit target (or loss target) before exiting.
Features:
Global and Magic-specific expiration periods (format: HH:MM:SS).
Tracks expired trades separately and only closes them when a `MIN_PROFIT_CLOSE` target is met (or loss target if "Close Only Profitable" is false).
Includes a manual control and statistics reporting functions (`GetExpiredOrdersSummary`, `ForceCheckExpired`).
Can also delete pending orders on expiration.
Effective Uses:
Aging Off Trades: Force a trade to close only after 30 days if it hasn't hit its target, but only if it becomes profitable.
Scalping Expiration: For a scalping EA, use a short Magic expiration (e.g., 60 minutes). If a trade isn't closed in profit by then, this EA will wait for it to hit a small profit target before exiting.
Capital Preservation: Prevent trades from staying open indefinitely and tying up margin.
An advanced profit-taking EA that closes only *profitable* trades at the end of the day (Monday-Friday) and on Friday, while allowing losing trades to continue running or be handled by other logic.
Features:
Closes profitable trades at a user-defined `ProfitCloseTime`.
Separate profit thresholds for regular weekdays (`PROFIT_CLOSE_MG`) and Fridays (`PROFIT_CLOSE_FD`).
Includes the full `ExitOnFriday` logic to close *all* trades after a specific Friday time.
Can filter by Magic Number, only closing profits for specific EAs.
Calculates profit including swap and commission.
Effective Uses:
Locking in Daily Gains: Capture profits from winning trades at the end of the day while giving losing trades more time to recover.
End-of-Week Profit Taking: Take higher or lower profits on Friday based on weekly performance goals.
Hybrid Strategy: Combine with a daily trend-following system. Let winners close at EOD, but hold losers overnight for a potential reversal.







