Please, I need an EA to help me pass and manage a prop firm trading account. EA must have good risk management which includes a stops and target. EA should preferably not be a martingale EA.

명시

Please, I need an EA to help me pass and manage a prop firm trading account. EA must have good risk management which includes a stops and target. EA should preferably not be a martingale EA.

daily loose 

This rule can also be called “trader’s daily stop-loss”. According to our rules, this is set as 5% (10% in case of an Aggressive version) from the initial account balance. The rule says that at any moment of the day [CE(S)T = Central European (Summer) Time], the result of all closed positions in sum with the currently open floating P/Ls (profits/losses) must not hit the determined daily loss limit. The counting formula:

maximum loose 

This rule can also be called “account stop-loss”. The equity of the trading account must not, at any moment during the account duration, decline below 90% of the initial account balance. For the FTMO Challenge with a balance of $100,000, it means that the account lowest possible equity can be $90,000. Again, this is a sum of both closed and open positions (account equity, not balance). The logic of the calculation is the same as with the Maximum Daily Loss; the only difference is that it’s not limited to one day but the entire duration of the testing period. The limit is inclusive of commissions and swaps. 10% of the initial account balance gives trader enough space to prove that his/her account is suitable for the investment. It is a buffer that should keep the trader in the game even if there were some initial losses. The investor has an assurance that the trader’s account cannot decline below 90% (80% in case of Aggressive version) of its value under any circumstance.

the profit target 

he Profit target in the FTMO Challenge is set to 10% (20% in the Aggressive level) of the initial balance and 5% (10% in the Aggressive level) in the Verification. Profit target means that a trader reaches a profit in the sum of closed positions on the assigned trading account anytime within 30 calendar days in the FTMO Challenge or anytime within 60 calendar days in the Verification. Also, at the end of the trading period, all positions must be closed. For example: If you trade FTMO Challenge with $100,000 account balance, your profit target is $10,000 in the FTMO Challenge and then $5,000 in the Verification. Note that we will provide you with a new free FTMO Challenge every time you meet all the Trading Objectives (regardless of whether that is FTMO Challenge or Verification) except for the Profit Target. To receive the new FTMO Challenge for free, your account profit must be positive at the end of the duration with all positions being closed.


If you think you can make an EA that follows the conditions above, please apply for this job. Thank you 


응답함

1
개발자 1
등급
(278)
프로젝트
373
72%
중재
19
32% / 47%
기한 초과
14
4%
무료
게재됨: 14 코드
2
개발자 2
등급
(15)
프로젝트
20
35%
중재
3
0% / 100%
기한 초과
0
무료
게재됨: 1 코드
3
개발자 3
등급
(7)
프로젝트
2
50%
중재
6
0% / 100%
기한 초과
0
무료
4
개발자 4
등급
(174)
프로젝트
199
12%
중재
38
37% / 34%
기한 초과
5
3%
작업중
게재됨: 2 코드
5
개발자 5
등급
(2)
프로젝트
1
0%
중재
1
0% / 100%
기한 초과
0
무료
비슷한 주문
Please explain all the details, including the entry and exit conditions . Refine signal trigger execution . Optimize live chart performance . Ensure stable and clean code structure : Stable and clean code is important . Otherwise its a mess . Apply with as much accurate structure you foresee . requests for details of the project will be ignored
Phahla fx boto 30+ USD
99.99% signal accuracy 10-15 trades distribution all currency trade and meta AI assistance on loss[advice] stop and start robot cyber security firewall protection activation code: 20060605TLP20 Please create a trading bot with any logo with the name elevation
Refine signal trigger execution . Optimize live chart performance . Ensure stable and clean code structure : Stable and clean code is important . Otherwise its a mess . Apply with as much accurate structure you foresee
This post is subject to developers response . Edit the post as you like . May be with me you can make a come back . So , , , Shift calculations . More to the calculation then you can comprehend is known . What else comes to your mind
I’m hiring an experienced MQL5 developer to finish and fix an existing project (NOT building from scratch). I have: An existing MT5 EA (.mq5 + .ex5) that is based on my TradingView logic A TradingView indicator version used for signals/alerts The EA works but has logic/consistency issues and needs improvements + cleanup Goal Make the EA reliable and consistent: Ensure entries/exits match the intended logic Fix
All other Necessary filters already coded , Mostly it is referring to another expert copy pasting . Live Chart Optimization . Optimization from Signal Trigger Point . Apply to stay ahead . While applying please explain the correct trailing stop loss for value gap entries
I would like to create a robot with the smart money concepts, that integrates order block,FVG,supply & demand ,read the market structure,liquidity and also trade with the session and also after a liquidity sweep a market structure is needed to verify the reversal and a retracement to the order block and sometimes fair value Gap
I’m looking to acquire an existing, profitable Expert Advisor (EA) with full source code to add to our client investment portfolio. To be clear, this is not a request to develop or design a new strategy. If you already have an EA that is proven, consistent, and production-ready, I’m open to reviewing it immediately. Please apply only if you meet all the requirements below. Submissions without a proper introduction or
Trailing Stop Based on Thresholds . Other Necessary Filters already Coded . Live Chart Only . The strategy already coded - needs a fresh new draft . To Start from Signal Trigger
I am looking for a professional MQL5 developer to build a structured MT5 Expert Advisor. This is NOT a martingale or high-risk grid bot. Platform: • MT5 only (MQL5 source code required) Symbols: • XAUUSD • GBPUSD • GBPJPY Timeframe: • M5 Risk Management: • Adjustable risk per trade (default 0.5% equity) • Daily drawdown protection (max 3%, auto-lock trading for the day) • Maximum 2 open trades • Minimum 120 seconds

프로젝트 정보

예산
100 - 350 USD