Quant Desk Pro

Quant Desk Pro

An R-native trade manager for MetaTrader 5. It manages the trades you have already opened: it measures what each one is really risking, protects it, scales out of it on a plan you set, trails what is left, and stops the whole book when the day has gone far enough wrong.

Read this first. Quant Desk Pro does not open trades and has no signal. And it ships in VIEW ONLY: it will not send a single order until you set  I understand the risks  to true in the inputs. Until you do, everything else works - the panel measures, the chart draws, the journal records - so you can run it on your own account for a session before it is allowed to touch anything.

What this is

Quant Desk Pro manages trades that are ALREADY OPEN. It does not look for entries, it has no signal, and it will not decide when you should be in the market. What it does is everything that happens after that decision: it measures what each position is really risking, protects it, scales out of it on a plan you set, trails the remainder, and stops the whole book when the day has gone far enough wrong.

It does not care where a trade came from. A position opened by hand on the desktop terminal, from the MetaTrader phone app, from the web terminal, or by another expert advisor is picked up on the next cycle and managed like any other.

The one idea underneath all of it is R - the money a position would lose if its stop were hit. Quant Desk Pro measures that once, at the moment it first sees the trade, and then keeps it fixed for the life of the position. Every number the product shows you is a multiple of that one number, which is what makes a two-hundred-dollar loss on gold and a forty-dollar loss on EURUSD comparable at a glance.

What it will never do

This matters as much as the feature list, so it comes second rather than last.

  • No grid. It will never open a position to average down a losing one.
  • No martingale. It will never increase size after a loss.
  • No hidden entries. With the entry tools off - which is how it ships - the product sends no order that you did not press a button for, except the protective stop described in Protection.
  • No loosening. A stop this desk has moved into profit is never moved back down. Only you can do that, by hand, in the terminal.
  • No touching your take profit, unless you ask. The desk reads it, warns you when it sits in front of one of your targets, and leaves it exactly where you put it.
  • No third-party server. Nothing leaves your terminal. There is no licence call, no telemetry and no web request of any kind.

Hedging accounts only. On a netting account the product runs in MONITOR ONLY: it measures and displays everything and sends no orders at all, because a netting account has one position per symbol and per-position management is not possible on it.

Before you start

  • MetaTrader 5, build 3800 or newer.
  • A HEDGING account. Check it in Tools - Options - Trade, or on the terminal's account information: it must say Hedging.
  • Algo Trading enabled in the terminal toolbar.
  • Allow Algo Trading ticked in the expert's own Common tab.

The product runs on one chart and manages whatever its scope tells it to. One chart is enough for the whole account; you do not need a copy per symbol.

Five minutes to running

Read this section even if you never read another one.

  • Drag Quant Desk Pro onto any chart. The panel appears in the top-left corner and can be dragged anywhere with the mouse.
  • Look at the chip in the top right of the panel. It will say VIEW ONLY.
  • THE PRODUCT SHIPS IN VIEW ONLY AND WILL NOT SEND A SINGLE ORDER UNTIL YOU CHANGE THAT. This is deliberate. A tool that can close your positions should not be able to do it because you dragged it onto the wrong chart.
  • Press F7, find I understand the risks in the first group, and set it to true. The chip turns green and reads LIVE.
  • Choose a preset in the second group. Standard is a sensible starting point and is described in Presets.
  • Open a trade, or let the desk find one you already have. Watch the panel fill in.

Until you set that consent input, everything works except sending orders: the panel measures, the chart draws, the journal records. It is a full dry run of the product on your own account, and it is worth spending a session in it.

The one idea: sealed R

One R is what the position loses if its stop is hit. Quant Desk Pro seals that number the first time it sees the trade and never recalculates it.

An example. You buy 0.20 lots of EURUSD at 1.09500 with a stop at 1.09200. Thirty points on 0.20 lots is sixty dollars, so one R is sixty dollars for this trade, for as long as it lives. At +120 dollars the panel reads +2.00R. If you later move the stop up to breakeven, the trade is still measured in sixty-dollar units - because that is what you actually risked to get here.

This is the part most trade managers get wrong. If R were recalculated from the CURRENT stop, then every time the stop moved up the same profit would suddenly be worth more R, and a trade that had gone nowhere would appear to be winning. A sealed R is the only version of the number that can be compared between trades, between symbols and between weeks.

The figure the panel shows is NET. Anything an earlier target already banked, plus swap, plus commission, is inside it. +1.00R means the position has actually delivered one R into the account, not that price has travelled one R.

If a position arrives without a stop, there is nothing to measure. The desk then estimates R from an ATR multiple so that the rest of the product has something to work with - see InpFallbackRiskATR - and the moment a real stop exists the position is protected at that estimated level. Set that input to 0 if you would rather the desk simply refuse to manage a stopless trade.

Reading the panel

The panel is in three tiers. Small grey capitals name a thing; the large figure under them is the thing; the small line under that is its context. Nothing else on the panel is decoration.

The Money Row

  • EQUITY — Account equity, refreshed every cycle.
  • OPEN P&L — Every managed position added up, net of swap and commission, with its share of equity underneath.
  • TODAY — Today's result: realised plus floating, with deposits and withdrawals removed. The tag says which basis the daily limits use - bal for the day-start balance, eq for day-start equity, eq~ when the desk attached mid-day and had to take equity as found. Ln counts losing trades in a row.
  • LOCKED — What the stops have already secured. If every stop that sits in profit were hit right now, this is what the account would keep.

The Limits Row

  • RISK AT STOP — What the account would lose if every stop were hit at once, as a share of equity. Positions with NO stop are not counted into it - their loss is not bounded by anything, and averaging a measured risk with an unmeasurable one would be the most dangerous thing this panel could say. They are named beside the figure instead: 2 UNPROTECTED, in red.
  • FREE MARGIN — Margin still available, with the margin level and margin in use underneath. Amber inside twice your broker's own margin call level, which is read off the account rather than guessed.
  • POSITIONS — How many open positions pass the scope and ownership filters, and how many working orders are waiting.
  • SPREAD — The current spread on this chart's symbol. With the R layer on, this cell shows net currency exposure instead.

The Risk Bar

Under the cells is a single bar: open risk against the cap you set. The white tick is the cap, and it sits at four fifths of the bar's length rather than at the end - so being over the cap looks like being over the cap, instead of like a bar that has been full since some point you cannot identify.

The Position Table

  • SYMBOL — The symbol. A two-pixel edge down the left of the row carries the direction in colour, so the shape of the book reads before any word does.
  • SIDE — Buy or sell.
  • LOTS — Volume still open, after any partial closes.
  • ENTRY — The price the position was opened at.
  • P&L — What this position is worth right now, net.
  • RISK — What hitting THIS position's stop would cost the account, as a share of equity - banked slices and swap counted. 0.00% means the stop is far enough into profit that nothing is at risk. A dash means there is no stop, and then the loss is not zero, it is unknown.
  • LOCKED — The mirror of RISK: what hitting the stop would BANK, when the stop sits in profit.
  • STOP — Where the stop actually sits. Green once it locks a profit, white while it still costs money, red when there is none.
  • TP — Your own take profit, as the broker holds it. Amber when it sits in front of one of your targets and will end the trade before the plan finishes.
  • R — The same result in R. Off by default - see The R layer.
  • PEAK — The best R this position has reached. Off by default.
  • TARGETS — One character per exit target. Off by default. See The exit ladder.

The Row Buttons

  • BE — Move this position's stop to its entry price, plus the breakeven buffer. Nothing is closed.
  • 1/2 — Close half of what is STILL OPEN, at market. Note the difference from a target: a target closes a share of the position's ORIGINAL size, this button closes a share of what is left.
  • X — Close this position completely. Click once to arm, again within six seconds to send.
  • II — Take this position off the desk. No targets, no trailing, no automatic stop moves - it is still measured and still shown. The button becomes GO to hand it back. The setting survives a restart.
  • TP — Put a take profit on the broker's server. Press it on a position that already has one and it CLEARS it. See The size calculator.

The Desk Buttons

Four buttons act on the whole managed book, and each carries its own consequence underneath it before you press: how many positions, and what they are worth.

  • PROTECT ALL — Put a stop on every managed position that has none, at the price its R was sealed from.
  • CLOSE WIN — Close every managed position in profit. Profit here is net.
  • CLOSE LOSS — Close every managed position that is losing, net.
  • CLOSE ALL — Close the whole managed book at market.

The three closing buttons ask twice by default. Every button on the panel has a tooltip: hover for a second and it explains itself in plain sentences.

The R layer

Out of the box the panel speaks money. R, PEAK, the target glyphs, the R-denominated open risk and the currency legs are hidden behind one switch: InpShowRLayer.

This is not a crippled default. It is the recognition that a trader who has never sized a position in R cannot read those columns on day one, and that three columns of money they can read are worth more than three columns of R they cannot. Turn the layer on when R has stopped being a foreign word - most people do it within a week, and then never turn it off.

InpValueUnit is a separate choice and applies to both the panel and the chart: money, R, percent of equity, or R and money together.

Protection

A managed position with no stop is the one case where this product acts on its own without being asked, and it is worth understanding exactly what it does.

With InpAutoProtect on - which is the default - any managed position that has no stop is given one, at the price its R was sealed from. Not when it goes into profit; immediately, on the first cycle that sees it. The trade that runs straight against you is the one that needs a stop most, and it is exactly the trade that a profit-triggered mechanism never reaches.

If you would rather place your own stops, switch it off. The panel still counts what is unprotected and the PROTECT ALL button still does the same job on demand.

The exit ladder

The ladder is a list of up to four TARGETS. Each one is a level in R, and when the trade reaches it two things can happen: a share of the position is closed, and the stop is moved.

The default ladder:

  • +1.0R — 33% of the original volume — to breakeven - the trade is now free
  • +2.0R — 33% of the original volume — to +1.0R - one R is banked and locked
  • +3.0R — nothing — to +2.0R - the remainder runs with two R secured
  • - — target 4 is off

Note what the third target does NOT do. It closes nothing. The point of a ladder is that something is still running when the move keeps going, and a target that closes the last of the position is the end of the trade, not the top of the plan.

The percentage is always a share of the ORIGINAL volume, not of what is left. Two 33% targets take two thirds of the trade, not 33% and then 33% of the remaining 67%.

The TARGETS column shows one character per target, in order:

  • . — the target is switched off
  • - — armed and waiting - price has not reached it
  • + — half done: either the slice closed or the stop landed, not both
  • # — done
  • x — this position is too small to split, so this target can never fire
  • TP! — your own take profit sits in front of a target and will end the trade first

The x is worth reading carefully. If your position is 0.01 lots and your broker's minimum is 0.01, a 33% slice cannot be sent. The desk says so on the row rather than failing quietly every time price crosses the level, and it tells you at start-up which of your targets will never fire at the minimum lot for your symbols.

The trailing runner

Whatever the ladder has not closed is trailed. Four engines are available:

  • Off — no trailing; only the ladder moves stops
  • ATR — a multiple of ATR behind price
  • Chandelier — a multiple of ATR below the highest high since entry, or above the lowest low
  • Hybrid — whichever of the two is further into profit, which is the default

Two guards apply to all of them. A stop is never moved backwards, and it is never moved by less than InpMinMoveR - a stop that creeps a tenth of a point every tick generates server traffic and achieves nothing.

InpTrailStartR delays trailing until the trade is far enough along. Left at 0 the runner engages from the first tick.

The portfolio governor

Everything above works on one position. The governor works on all of them, and on the day.

  • Daily loss — the day's result against the day-start balance
  • Daily profit — the same, upward - lock the day in when it has gone well
  • Max drawdown — equity against its own all-time high on this account
  • Open risk cap — everything at stake across the book at once
  • Losing streak — consecutive losing trades closed today
  • Currency leg — net exposure to one currency across every symbol - long EURUSD and long GBPUSD are two trades but one bet against the dollar

A breach can block new entries, or flatten the book, or both. In SOFT mode the desk warns for a configurable number of seconds first, so that a spike through the limit and back does not close your day for you.

The trading day starts at InpDayResetHour in SERVER time. On a funded account this matters: your programme's day probably starts at 17:00 or 00:00 New York, which is rarely your broker's midnight. Set it to the hour you are actually graded on, and the anchor, the day's P&L and every daily limit move with it.

Presets

A preset overrides the ladder, runner and governor groups in one choice, and prints exactly what it applied to the journal when it starts.

  • Conservative — Scales out early and locks in fast. Tight daily loss limit.
  • Standard — The ladder described in The exit ladder. A reasonable place to begin.
  • Aggressive — Later targets, looser trailing, more room to run.
  • Prop / funded — Built around a daily loss limit and a drawdown ceiling, because that is what the account is graded on.
  • Custom — Nothing is overridden. Every input below is yours.

Choose a preset first and read what it did in the journal. Then, if you want to change one thing, switch to Custom and change it - a preset ignores individual edits by design, so that half-applied configurations cannot happen.

The size calculator

Under the table is a block that answers one question: how big, at my risk setting, on this account, right now.

  • SUGGESTED LOT — The volume that makes the distance from entry to stop cost the risk percentage in your inputs. Lot step and the broker minimum are honoured, so it is a volume that can actually be sent.
  • RISK — What that volume ACTUALLY risks - not the budget it was sized from. The volume is floored to the lot step, so the tradeable size always risks a little less than you asked for, and the cell says both when the gap is worth seeing.
  • MARGIN AFTER — The margin level once this trade is on. The current level is in the FREE MARGIN cell above. Amber inside twice your broker's margin call level, red at or below it.
  • COST — What the trade costs before price has moved at all: the spread at that volume, plus commission averaged from what THIS account has actually paid on THIS symbol over the last month. And what share of one R that adds up to, which is the number that matters.

The line underneath is headroom: what the trade would leave of every limit that could refuse it. If a limit is already in force it says so in red, first, before anything else makes the trade look available.

By default the stop distance comes from an ATR multiple and the block says so - with no line on the chart there is nothing to take a direction from, and the cell reads 'direction not set' rather than inventing one. Draw a horizontal line, name it QD_STOP, and the block sizes from YOUR stop and takes the direction from which side of price the line sits on. Add a second line named QD_ENTRY and it quotes a working order instead.

The server-side target

Every exit in this product needs the terminal open, the chart loaded and the expert running. The targets, the trailing stop, the governor's flatten - all of them. A take profit needs none of that: it lives on the broker's server and fires whether or not anything of yours is running.

That is what this is for. It is not a rival to the ladder, and the default sits at 6R - clearly beyond a three-target plan - because a take profit at your highest target does not complete the ladder, it truncates it. If you set it inside the plan, the product tells you at start-up and does it anyway; it is your trade.

The TP button is a toggle. On a position with no target it places one; on a position that has one it CLEARS it. The desk never overwrites a take profit you set yourself.

Two terminals, one account

If you run Quant Desk Pro on two charts, or on two terminals against the same account, only one of them manages. The others read the same account and show the same numbers, and their state chip says STANDBY.

The claim is written to the shared terminal folder and refreshed while the owner lives. If that terminal closes, another takes over within a minute. You never have two desks moving the same stop.

In the Strategy Tester

Quant Desk Pro runs in the tester and the panel works there, but understand what you are testing.

This product does not open trades, so a tester run with nothing to manage produces nothing - correctly. To see it work, switch the entry tools on (InpEnableEntryTools) so that the tester has positions to manage, or run it in visual mode and open trades by hand from the panel.

The consent gate is bypassed in the tester, so you do not have to set it to run a test.

What a tester run will NOT tell you is whether this product is any good, because it manages YOUR trades. Its result is a function of your entries. The honest way to evaluate it is forward, on a demo account, on the trades you would have taken anyway.

The record

Everything the desk does is written to the Experts journal as QD_AUDIT lines: what was sent, on what, at what price, why, and what R it was measured against.

The same lines go to a daily CSV in MQL5\Files, semicolon separated, which opens directly in a spreadsheet. When a position closes, one POSITION_CLOSED record carries the whole life of the trade: net R, gross R, what it cost in commission and swap, the peak it reached, which basis its R came from, which targets fired, whether the stop was moved by hand, and how it ended.

That record is the point. A month of it answers questions no backtest can - whether your winners are actually reaching the second target, whether the trailing stop is taking you out of trades that then continue, whether your average loss is really one R.

If something does not happen

  • VIEW ONLY — Consent was never given. F7, first group, I understand the risks - set it to true.
  • MONITOR ONLY — This is a netting account. The desk will measure but never send. Nothing to fix; it is not the account type this product manages.
  • BLOCKED — The terminal or the account is refusing trades. Check the Algo Trading button in the toolbar and the expert's own Common tab.
  • STANDBY — Another Quant Desk Pro already owns this account. See Two terminals, one account.
  • PAUSED — The Friday cut-off is in force. InpPauseFridayLate.
  • OFF — The master switch. InpEnabled.
  • GOVERNOR - ... — A portfolio limit is in force. The message names which one.

R shows n/a on a row. The position's R could not be sealed - it has no stop and InpFallbackRiskATR is 0, or the priced risk is below InpMinR0Currency. Give the trade a stop, or press PROTECT ALL.

A target shows x. The position is too small to split at your broker's minimum lot. Nothing is broken; that target cannot fire on that trade.

The panel is too wide, or too narrow. The table is fitted to the chart, not to the screen: it is given a share of the chart's width - InpPanelMaxWidthPct, 92% out of the box - and if the columns do not fit inside it they are given up in a fixed order until they do. SIDE goes first, because the coloured edge down the left of every row already carries the direction and carries it better; then PEAK, ENTRY, TP, LOCKED, LOTS, and the R columns. SYMBOL, P&L and STOP are never dropped - what it is, what it is worth and where the protection sits are the table. Set the limit to 45 for a panel that stays out of the way of the chart, or to 92 to see everything that fits. It names what it dropped in the journal.

The panel is smaller than the font size you asked for. The size in the inputs is a ceiling, not an instruction: the panel measures itself against the WIDTH it is allowed and comes down a point at a time until it fits, saying so once in the journal. It never goes below 7 - past that it gives up columns instead, because a font that cannot be read is not a smaller panel, it is no panel. Height never shrinks the font: a panel taller than its chart scrolls under the mouse wheel while the cursor is over it, and HIDE collapses it to the title bar.

The panel looks different on another monitor. It is the same panel in a different shape. The account block, the size block and the desk buttons go two across on a chart with height to spare, and four across on a wide one that has none - four across costs width and gives back roughly a third of the panel's height, which is what a 1920 by 600 window needs and what a tall one does not. The desk measures the chart it is on and picks, preferring the narrow shape whenever it fits, because the panel is not the product and the price behind it is. Nothing is added or taken away in either shape. It says which one it chose, and why, in the journal.

To overrule it, resize the panel by its own frame. Put the cursor on any edge - the edge lights up when it is in reach - and either roll the mouse wheel or hold the left button and drag toward the opposite side. The far edge stays anchored, so the panel grows and shrinks toward you, and everything on it scales together: type size, cells, buttons and spacing. The top edge is worth knowing about, because it is on screen whatever the panel's height is doing - pulling it down is always available as the way out of a panel that overflows a short chart.

Type size steps in whole points, so one notch of the wheel is one point and the panel settles on sizes rather than following the mouse continuously. It ranges from 6 to 20 by hand; left to itself the desk will not go below 7, because past that the small lines stop being legible and that is not a decision a tool should make for you. Click the frame without dragging to hand the size back to the desk. What you choose is remembered per symbol and survives a restart.

The status line at the bottom of the panel is the one place that answers 'why did nothing happen'. Read it before anything else. The footer beside it counts what this session has done - stops moved, positions closed, orders refused - and why any action was skipped this cycle.

Every input

Every setting, in its group, with its default and what it does, is documented in the manual. It is generated from the product’s own source, so it cannot describe a setting that is not there. A Market product may carry one file, so the manual is published on the channel linked at the foot of this page rather than packed with the EX5.

algoteknik

Support, updates and every other product: mql5.com/en/users/bugraky123
Product channel: mql5.com/en/channels/trendtower

Quant Desk Pro version 1.0


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CosmiCLab SMC FIBO CosmiCLab SMC FIBO is a professional trading indicator designed for traders who use Smart Money Concepts (SMC), market structure analysis and Fibonacci retracement levels. The indicator automatically detects market swings and builds Fibonacci levels based on the latest impulse movement. It also identifies market structure changes such as BOS (Break of Structure) and CHOCH (Change of Character), helping traders understand the current market direction. CosmiCLab SMC FIBO also pr
Key Benefits at a Glance: Lorentzian ML signal generation Majority voting across 3 timeframes Automatic market regime detection Smart equity recovery with group profit targets 1% risk‑based adaptive lot sizing ATR‑based dynamic SL/TP & trailing Emergency drawdown cut Live on‑chart info panel Hybrid Lorentzian Gold ML EA v2.0 – Intelligent Adaptive Trading for XAUUSD Next‑Gen Machine Learning Core A Lorentzian KNN classifier analyzes 5 normalized features (RSI, WaveTren
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Auto Stop Loss MT5
Nabil Oukhouma
5 (1)
"설정 후 잊으세요(Set & Forget)" - 다중 자산 거래를 위한 리스크 매니저 ️ 절대 거래를 무방비 상태로 두지 마십시오. **Auto Stop Loss (MT5 Manager) **는 안전을 최우선으로 하는 트레이더를 위한 최고의 백그라운드 유틸리티입니다. 일반적인 패널과 달리 이 도구는 백그라운드에서 끊임없이 작동하여 모든 거래를 즉시 보호합니다. 수동으로 거래하든 다른 EA를 통해 거래하든, 이 매니저는 모든 포지션에 강력한 손절매(Stop Loss), 이익 실현(Take Profit) 및 동적 추적 손절매(Trailing Stop)가 즉시 적용되도록 보장합니다. 혁신적 기능: 단 하나의 차트 에서 전체 포트폴리오를 관리하십시오. 10개의 다른 창을 열어 PC 속도를 늦출 필요가 없습니다. 선호하는 통화쌍을 나열하기만 하면 이 매니저가 모든 쌍을 동시에 감시합니다. [   Get the MT4 Version Here   ] 주요 기능 다중 심볼 제어 (CP
Trading Utility for Forex Currency Pairs Only not for Gold  Functions Auto Lot Calculation based on Risk Auto stoploss  Auto TakeProfit Breakeven Auto Close Half % Close in percentage with respect to the PIPs Pending Orders BuyLimit Sell Limit with distances BuyStop Sell Stop    with distances Trading Informations Risk in percentage For Multiple trades Combine Takeprofit and Combine Stoplosses
King Trade Copier
Mohammed Maher Al-sayed Mohammed Ahmed Saleh
KingCopier – Lightning-Fast Local Trade Copier for MetaTrader (Master + Slave) KingCopier is a professional local trade copier that mirrors every trading action from one Master account to unlimited Slave accounts on the same PC or VPS — with an internal copy latency of just a few milliseconds. It was built by a real trader for daily real-money use, with one goal: whatever happens on the Master must happen on the Slave, instantly and without exceptions. Watch the demo video to see the real cop
Tired of fumbling with lot size calculations and manually managing every trade? The Visual Risk Manager (VRM) is a professional-grade trading panel designed to streamline your trading and enforce discipline. This Expert Advisor is not a strategy; it's a powerful utility that allows you to manage your risk and execute trades with unparalleled speed and precision, directly from your chart. Why You Need the Visual Risk Manager Stop letting emotions and guesswork control your trading. VRM ensures t
Ind5 Extra Report Pad
Vladislav Andruschenko
4.77 (35)
Traders Diary: MetaTrader 5의 거래 계정에 대한 분석을 제공하는 통계 패널입니다. 분석 결과는 실시간으로 차트에 표시됩니다. 다중 통화 거래는 매우 인기가 있습니다.  MT4 버전 전체 설명 +PDF 구입 방법 설치하는 방법     로그 파일을 얻는 방법     테스트 및 최적화 방법     Expforex의 모든 제품 하지만 거래량이 많을수록 각 거래의 수익성을 분석하기는 더 어려워집니다. 월별 거래를 분석하고 각 거래별 통계를 계산하는 것은 훨씬 더 어려운 작업입니다. 트레이딩 시스템의 성과를 종합적으로 파악하고 싶다면 이 목표를 달성하는 데 도움이 되는 여러 도구를 사용할 수 있습니다. 이러한 도구에는 보고서, 통계, myfxbook, 트레이딩 일지, 계좌 분석, 수익률 통계, 분석, 혁신적인 대시보드 등이 있습니다. 이러한 도구를 활용하면 트레이딩 시스템의 성과를 자세히 분석하고 강점 및 잠재적 약점 영역에 대한 귀중한 통찰력을 얻을 수 있습니다
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숫자 시퀀스 중 하나를 "산불 시퀀스"라고 합니다. 가장 아름다운 새로운 시퀀스 중 하나로 인식되었습니다. 주요 특징은 이 시퀀스가 ​​가장 짧은 경우에도 선형 추세를 피한다는 것입니다. 이 지표의 기초를 형성한 것은 이 속성입니다. 금융 시계열을 분석할 때 이 지표는 가능한 모든 추세 옵션을 거부하려고 합니다. 그리고 그가 실패하는 경우에만 그는 추세의 존재를 인식하고 적절한 신호를 제공합니다. 이 접근 방식을 통해 새로운 트렌드가 시작되는 순간을 정확하게 결정할 수 있습니다. 그러나 거짓 긍정도 가능합니다. 숫자를 줄이기 위해 이 표시기에 추가 필터가 추가되었습니다. 새 막대가 열리면 신호가 생성됩니다. 어떤 경우에도 다시 그리기가 발생하지 않습니다. 표시 매개변수: Applied Price   - 적용된 가격 상수. Period Main   - 표시기의 기본 기간, 유효한 값은 5 - 60 이내입니다. Period Additional   - 추가 기간, 이 매개변수의 유효한
Trendline EA MT5
Carlos Oliveira
4.8 (15)
Trendline EA MT5 Trendline EA MT5는 사용자가 그린 추세선을 기반으로 거래 실행 또는 알림을 수행하도록 설계된 MetaTrader 5용 반자동 전문가 어드바이저(EA)입니다. MetaTrader 5는 추세선을 통해 직접 거래를 실행하거나 관리하는 기본 기능을 제공하지 않습니다. 본 전문가 어드바이저는 사용자가 정의한 추세선을 모니터링하고, 가격이 해당 추세선과 상호작용할 때 사전에 정의된 동작을 실행함으로써 플랫폼의 표준 동작을 확장합니다. 본 전문가 어드바이저는 어떠한 거래 전략도 정의하거나 적용하지 않습니다. 모든 거래 로직과 의사결정은 전적으로 사용자의 통제 하에 있습니다. 추가 자료 사용자 가이드 및 문서 MT4 버전 기능 개요 추세선 기반 거래 실행 가격이 추세선을 터치, 돌파 또는 되돌림할 때 매수 또는 매도 실행 각 추세선별로 스톱로스, 테이크프로핏 및 거래 수량 설정 가능 캔들 종가 또는 가격과 추세선 간의 거리에 따라 동작 트리거 모니터링 및
구매하기 전에 실제 시장에서 테스트해 보세요 :  이 제품에는 무료 체험 버전   이 포함되어 있으며, 직접 다운로드하여 데모 계정 에서 사용할 수 있습니다. 구매 전에 실제 시장 환경에서 모든 기능을 테스트해 보세요. 다운로드 링크는 이 제품의 첫 번째 댓글에서 확인할 수 있습니다. Prop Firm Trade Assistant 는 명확한 규칙, 통제된 리스크, 깔끔한 실행을 통해 프로프 펌 계정을 통과하고 보호 하고자 하는 트레이더를 위해 설계된 전문 차트 패널입니다. 이 제품이 당신에게 적합한가요? 이 제품은 더 쉽고 빠르고 스마트하게 거래하고 싶은 수동 트레이더에게 적합합니다. 이 어시스턴트는 불필요한 손실과 심리적인 실수를 피하는 데 도움을 줍니다. 가격 : 처음 100명의 구매자에게는 50$로 제공되며, 이후에는 이 제품의 적정 가격인 100$로 인상됩니다. Prop Firm Trade Assistant 는 prop firm 트레이딩 에 특별히 맞춘 전문 트레이드 어시스
Inverted_Chart_EA Utility Expert Advisor Inverted_Chart_EA creates and maintains a mirror-inverted chart of any symbol and timeframe. It automatically generates a custom instrument (e.g. US30_INV ) and keeps its price history updated in real time, with bars mirrored around a chosen pivot. This utility gives traders a new way to analyze the market from a different perspective by flipping the chart upside down. Why use an inverted chart? Highlight hidden patterns – price formations that look ordin
가격으로 TP 및 SL 설정 – MT5 자동 주문 수정기 모든 거래에 대해 정확한 TP 및 SL 가격 수준 자동 설정 ️ 모든 통화쌍 및 EA와 호환, 심볼 또는 매직넘버로 필터링 가능 이 EA는 직접 가격 값(예: EURUSD의 1.12345)을 사용하여 거래의 정확한 테이크프로핏(TP)과 스톱로스(SL) 수준을 정의하고 적용합니다. 포인트나 핍 없음. 모든 주문 또는 선택된 심볼/매직넘버에 대해 깔끔하고 정확한 거래 관리가 가능합니다. 주요 기능: 정확한 가격으로 TP 및 SL 즉시 수정 모든 주문, 현재 심볼 또는 특정 매직넘버에 적용 ️ 0을 입력하여 거래의 TP 또는 SL 제거 차트에 연결되면 완전 자동 작동 모든 거래 자산과 호환 적합 대상: 빠른 TP/SL 제어를 원하는 수동 트레이더 기본 종료 로직을 재정의해야 하는 EA 사용자 복잡한 포지션을 관리하는 다중 주문 트레이더 질문이나 제안이 있으신가요?
Guardian Yield Keeper is a utility Expert Advisor for traders who want real-time exit management and profit protection for open positions on the current symbol. This EA does not open new trades and does not generate entry signals. Its job is simple: monitor existing positions and close them when your profit or risk conditions are met . It is especially suitable for traders using DCA, Grid, Martingale, or basket trading systems and looking for a dedicated management layer that is more flexible th
PropArmor — 에퀴티 보호 실드 (Equity Protection Shield) 단 한 번의 클릭으로 치명적인 손실(드로다운)로부터 거래 계좌를 보호하세요. PropArmor는 계좌의 에퀴티(평가 잔고)를 실시간으로 모니터링하며, 에퀴티가 지정된 보호 수준으로 떨어지면 모든 포지션과 대기 주문을 자동으로 청산합니다. 프랍 펌(Prop Firm) 트레이더, 펀딩 계좌 챌린지 도전자 및 계좌에 안정적인 안전망을 원하는 모든 사람을 위해 설계되었습니다. 작동 방식 1. 설정 입력에서 "Equity Protect" 수준을 설정합니다 (예: $10,000 계좌에서 $9,900로 설정) 2. 대시보드에서 "Start Protect"를 클릭합니다 3. PropArmor는 매 500ms마다 에퀴티를 지속적으로 모니터링합니다 4. 에퀴티가 보호 수준에 도달하면 →
FREE
Capital Management EA – Smart Risk Management & Profit Optimization for MT5 Take control of your trading capital with smart, automated strategies — fully optimized for MetaTrader 5 (MT5). Looking to protect your capital and maximize profits through automated money management strategies ? Capital Management EA is the all-in-one Expert Advisor for MetaTrader 5 (MT5) that helps you trade smarter, not harder. Core Features: 5-in-1 Capital Management Strategies – Built-in versatility Gr
Intelligent Trade Copier with Missed Trade Recovery Require Free Master EA:  https://www.mql5.com/en/market/product/178682 This Slave EA REQUIRES the FREE SyncTrade Copier Master EA to function. Without the Master EA installed and running on a second MT5 terminal, this product will not copy any trades. Download the FREE Master EA from the MQL5 Market before or after purchasing this Slave EA. Both EAs must be running simultaneously. Both MT5 terminals must be installed on the SAME computer for fi
GridZone Alpha: The Ultimate Semi-Automated Grid & Zone Manager GridZone Alpha is an advanced, interactive trading panel designed for the modern manual trader. Stop staring at the charts waiting for the perfect entry, and stop relying on rigid, fully automated bots that cannot read market context. With GridZone Alpha, you provide the human analysis by identifying your support, resistance, or supply/demand zones. Once confirmed, the Limit Order Engine takes over, instantly deploying a precision,
Price Magnet — Price Density and Attraction Levels Indicator Price Magnet is a professional analytical tool designed to identify key support and resistance levels based on statistical Price Density. The indicator analyzes a specified historical period and detects price levels where the market spent the most time. These zones act as “magnets,” attracting price action or forming a structural base for potential reversals. Unlike traditional Volume Profile tools, Price Magnet focuses on price-time d
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Trade Assistant MT5
Evgeniy Kravchenko
4.41 (216)
거래당 위험 계산, 라인을 사용한 손쉬운 신규 주문, 부분 청산 기능을 통한 주문 관리, 7가지 유형의 트레일링 스탑 및 기타 유용한 기능을 제공합니다. 추가 자료 및 지침 설치 지침   -   애플리케이션 지침   -   데모 계정용 애플리케이션 평가판 라인 기능       - 차트에 개시선, 손절매, 차익실현을 표시합니다. 이 기능을 사용하면 새로운 주문을 쉽게 하고 개봉 전에 추가 특성을 볼 수 있습니다. 위기 관리       -       위험 계산 기능은 설정된 위험과 손절매 주문의 크기를 고려하여 새 주문의 볼륨을 계산합니다. 이를 통해 손절매 크기를 설정하고 동시에 설정된 위험을 존중할 수 있습니다. 로트 계산 버튼 - 위험 계산을 활성화/비활성화합니다. 필요한 위험 값은 위험 필드에 0에서 100 사이의 백분율 또는 예금 통화로 설정됩니다. 설정 탭에서 위험 계산 옵션을 선택합니다. $ 통화, % 잔액, % 지분, % 자유 마진, % 사용자 정의, % AB 이전
Trade Manager EA에 오신 것을 환영합니다. 이 도구는 거래를 보다 직관적이고 정확하며 효율적으로 만들기 위해 설계된 궁극적인 리스크 관리 도구 입니다. 단순한 주문 실행 도구가 아닌, 원활한 거래 계획, 포지션 관리 및 리스크 제어를 위한 종합 솔루션입니다. 초보자부터 고급 트레이더, 빠른 실행이 필요한 스캘퍼에 이르기까지 Trade Manager EA는 외환, 지수, 상품, 암호화폐 등 다양한 시장에서 유연성을 제공합니다. Trade Manager EA를 사용하면 복잡한 계산은 이제 과거의 일이 됩니다. 시장을 분석하고 진입, 손절 및 익절 수준을 차트의 수평선으로 표시한 후 리스크를 설정하면, Trade Manager가 이상적인 포지션 크기를 즉시 계산하고 SL 및 TP 값을 실시간으로 표시합니다. 모든 거래가 간편하게 관리됩니다. 주요 기능: 포지션 크기 계산기 : 정의된 리스크에 따라 거래 크기를 즉시 결정합니다. 간단한 거래 계획 : 진입, 손절, 익절을 위한
================================================================================ POC BREAKOUT - V20.72. Full Professional Grade Toolkit ================================================================================ POC Breakout is a full MetaTrader 5 trading dashboard for discretionary traders who want breakout signals, Point of Control (POC) context, volume profiles, order flow, market structure, news, alerts, and advanced trade planning in one professional workspace. Attached directly to you
TradePanel MT5
Alfiya Fazylova
4.88 (167)
Trade Panel은 다기능 거래 도우미입니다. 이 애플리케이션에는 50개 이상의 수동 거래 기능이 포함되어 있으며 대부분의 거래 작업을 자동화할 수 있습니다. 앱 사용 설명서 + 동영상 설명: https://www.mql5.com/en/blogs/post/756482 데모 계정용 앱 체험판: https://www.mql5.com/en/blogs/post/750865 앱 설치 방법: https://www.mql5.com/en/blogs/post/756239 시각 모드에서 앱 테스트 방법: https://www.mql5.com/en/blogs/post/770277 VPS MetaTrader에 앱 설치 방법: https://www.mql5.com/en/blogs/post/770190 거래. 한 번의 클릭으로 거래를 수행할 수 있습니다: 리스크 자동 계산과 함께 예약 주문 및 포지션 열기. 한 번의 클릭으로 여러 주문 및 포지션 열기. 주문 그리드 열기. 예약 주문 및 포지션을 그룹별로
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Indra Maulana
5 (4)
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EA Overfitter
Stephen J Martret
That backtest looks great. But will it still be making money tomorrow, next week, next month? EA Overfitter re-runs your EA on 100 price histories it has never seen. One score tells you if the edge is real. A backtest tells you what an EA did on one price history — the one that happened to occur. What you cannot tell from it is how much of that result was the strategy and how much was the particular path. EA Overfitter answers that. It builds up to 100 synthetic price histories your EA has n
Exp COPYLOT CLIENT for MT5
Vladislav Andruschenko
3.97 (35)
MetaTrader 5용 전문 트레이드 복사기 MetaTrader 용 빠르고 전문적이며 신뢰할 수 있는 트레이드 복사기 입니다. COPYLOT 은 MT4와 MT5 터미널 간의 Forex 거래 복사를 지원하며, Hedge 및 Netting 계좌를 모두 지원합니다. COPYLOT MT5 버전 지원 구성: - MT5 Hedge → MT5 Hedge - MT5 Hedge → MT5 Netting - MT5 Netting → MT5 Hedge - MT5 Netting → MT5 Netting - MT4 → MT5 Hedge - MT4 → MT5 Netting MT4 버전 전체 설명 + DEMO + PDF 구매 방법 설치 방법 로그 파일 확인 방법 테스트 및 최적화 방법 Expforex의 모든 제품 MT4 터미널로도 거래를 복사할 수 있습니다(MT4 → MT4, MT5 → MT4): COPYLOT CLIENT for MT4 COPYLOT은 2개, 3개, 심지어 10개의 터미널과 동시에 작동할
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Fatemeh Ameri
4.95 (132)
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ALGOFLOW OÜ
4.74 (19)
HINN MAGIC ENTRY – the ultimate tool for entry and position management! SIMPLE. FASTEST. INTUITIVE. MAX AUTOMATED. Place orders by selecting a level directly on the chart! full description   ::  demo-version  :: 60-sec-video-description Key features: - Market, limit, and pending orders - Automatic lot size calculation - Automatic spread and commission accounting - Unlimited partitial take-profits  - Breakeven and trailing stop-loss and take-profit  functions - Invalidation leves - Intuitive, a
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Kalinskie Gilliam
5 (8)
Anchor: The EA Manager Your EAs cannot see each other, but Anchor can. Anchor gives you one place to coordinate your EAs, manage risk, and decide when trading is allowed. It works alongside the trading bots you already use without any changes to them. The Problem One EA opens a trade. Then another starts trading. The next thing you know, you wake up to multiple grids built across your account. Each EA may be doing exactly what it was designed to do, but together they can place far more risk on y
Signal TradingView to MT5 Pro Automator TradingView와 MetaTrader 5 간의 즉각적인 전문 실행 TradingView 알림과 MT5의 실제 실행을 연결하는 가장 강력한 커뮤니케이션 브리지로 거래 전략을 자동화하세요. 속도, 유연성 및 완벽한 위험 관리를 요구하는 트레이더를 위해 설계된 이 Expert Advisor는 모든 알림 메시지를 정확한 시장가 또는 지정가 주문으로 변환합니다. 강점 및 이점 범용 파싱 엔진(독점 기술): 모든 알림 형식에서 데이터를 자동으로 인식하고 추출할 수 있는 고급 기술입니다. 단일하고 엄격한 형식에 얽매일 필요가 없습니다. 시스템은 심볼, 액션, 가격, SL 및 TP를 자동으로 이해합니다. 실시간 실행: 지연 시간을 최소화하도록 최적화된 1초 미만의 초고속 폴링 기술. 신호 수신 후 몇 밀리초 내에 주문 실행이 이루어집니다. 기관 수준의 위험 관리: 다음 기준에 따른 자동적이고 정확한 로트(Lot) 크기 계
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Samuel Manoel De Souza
5 (8)
Timeless Charts is an all-in-one trading utility for professional traders. It combines custom chart types such as Seconds Charts and Renko with advanced order flow analysis using Footprints , Clusters , Volume Profiles , VWAP studies, and anchored analysis tools for deeper market insight. Trading and position management are handled directly from the chart through an integrated trade management panel , while Market Replay and Virtual Accounts provide environments for practicing trading skills and
News Filter EA
Rashed Samir
5 (2)
News Filter EA: Advanced Algo Trading Assistant News Filter EA is an advanced algo trading assistant designed to enhance your trading experience. By using the News Filter EA , you can integrate a Forex economic news filter into your existing expert advisor, even if you do not have access to its source code. In addition to the news filter, you can also specify trading days and hours for your expert. The News Filter EA also includes risk management  and equity protection features. MT4 Version Ma
FUTURES ORDERFLOW FOOTPRINT CHART Professional OrderFlow EA for MetaTrader 5 Version 1.01| Professional tool for real traders | Institutional-Grade Visualization STRATEGY TESTER USERS - PLEASE SELECT EVERY REAL TICK WHEN TESTING AND YOU HAVE DOWNLOADED HISTORICAL DATA. IF YOU SEE A WAITING SCREEN AND IT IS NOT DOWNLOADING, IT MEANS YOU HAVE LOW HISTORICAL DATA. TRY 1 MIN AND 5 MIN FIRST ON 1 DAY DATA. ONE DAY DATA SHOULD BE THE NEWEST AND MOST CURRENT DATE. PLEASE WAIT UNTIL THE MARKET HAS ROL
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YuClusters
Yury Kulikov
4.93 (43)
Attention: You can view the program operation in the free version  YuClusters DEMO .  YuClusters is a professional market analysis system. The trader has unique opportunities to analyze the flow of orders, trade volumes, price movements using various charts, profiles, indicators, and graphical objects. YuClusters operates on data based on Time&Sales or ticks information, depending on what is available in the quotes of a financial instrument. YuClusters allows you to build graphs by combining da
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Ultimate Extractor
Clifton Creath
5 (8)
Ultimate Extractor - Professional Trading Analytics for MT5 *****this is the local HTML version of Ultimate Extractor. !!!!!it is not compatible with Cloud!!!! For the online version please reach out to me directly****** Ultimate EA manager also now available when you use cloud pro and above for free!! Ultimate Extractor transforms your MetaTrader 5 trading history into actionable insights with comprehensive analytics, interactive charts, and real-time performance tracking. What It Does Automa
Quant AI Agents
Ho Tuan Thang
5 (1)
Quant AI Agents are independent trading Expert Advisors. Instead of trading using a fixed strategy like other conventional EAs, Quant AI Agents   is a   multi-agent AI trading framework   that turns natural-language strategy prompts into live.  WANT THE SAME RESULTS AS MY LIVE SIGNAL?   Use the exact same brokers I do:   IC MARKETS , IC TRADING   .  Unlike the centralized stock market, Forex has no single, unified price feed.  Every broker sources liquidity from different providers, creating un
Trade Copier Ultimate
Janitha Sandaruwan Amaradasa Wickramasingha Arachchilage
5 (5)
Trade Copier Ultimate - Telegram to MT5 Signal Copier Trade Copier Ultimate automatically copies Telegram trading signals into MetaTrader 5. The EA can read signal messages, detect the symbol, order type, entry price, Stop Loss, Take Profit levels and selected update commands, then execute or manage the trade in MT5 using your lot and risk settings. It is more than a basic Telegram to MT5 copier. TCU also supports Bot API and user-account Bridge workflows, Discord signal routing, local MT5 to MT
Footprint Chart Pro — Professional OrderFlow EA for MetaTrader 5 Version 6.34 | Professional tool for real traders | Institutional-Grade Visualization DEMO USERS - PLEASE SELECT EVERY TICK / REAL TICK WHEN TESTING AND YOU HAVE DOWNLOADED HISTORICAL DATA. IF YOU SEE A WAITING SCREEN AND IT IS NOT DOWNLOADING, IT MEANS YOU HAVE LOW HISTORICAL DATA. TRY 1 MIN AND 5 MIN FIRST ON 1 DAY DATA. ONE DAY DATA SHOULD BE THE NEWEST AND MOST CURRENT DATE. PLEASE WAIT UNTIL THE MARKET HAS ROLLED OVER PERIOD.
The News Filter MT5
Leolouiski Gan
4.78 (23)
이 제품은 뉴스 시간 동안 모든 전문가 어드바이저 및 수동 차트를 필터링하여 수동 거래 설정이나 다른 전문가 어드바이저가 입력한 거래가 파괴될 수 있는 급격한 가격 상승으로부터 걱정하지 않아도 됩니다. 이 제품은 또한 뉴스 발표 전에 열린 포지션과 대기 주문을 처리할 수 있는 완전한 주문 관리 시스템이 함께 제공됩니다.   The News Filter  를 구매하면 더 이상 내장 뉴스 필터에 의존할 필요가 없으며 이제부터 모든 전문가 어드바이저를 여기서 필터링할 수 있습니다. 뉴스 선택 뉴스 소스는 Forex Factory의 경제 캘린더에서 얻어집니다. USD, EUR, GBP, JPY, AUD, CAD, CHF, NZD 및 CNY와 같은 어떤 통화 기준으로 선택할 수 있습니다. Non-Farm (NFP), FOMC, CPI 등과 같은 키워드 식별을 기준으로 선택할 수도 있습니다. 저, 중, 고 영향을 가지는 뉴스를 필터링할 수 있도록 선택할 수 있습니다. 차트와 관련된 뉴스만 선
Bots Builder Pro MT5
Andrey Barinov
4.17 (6)
This is exactly what the name says. Visual strategy builder . One of a kind. Turn your trading strategies and ideas into Expert Advisors without writing single line of code. Generate mql source code files with a few clicks and get your fully functional Expert Advisors, which are ready for live execution, strategy tester and cloud optimization. There are very few options for those who have no programming skills and can not create their trading solutions in the MQL language. Now, with Bots Builde
MetaTrader 5용 트레이딩 패널 — 차트와 키보드에서 실행하는 프로페셔널 원클릭 트레이딩 활동적인 트레이더를 위해 설계된 고급 Trading Panel로, MetaTrader 기본 인터페이스보다 훨씬 빠르고 직관적으로 포지션과 주문을 열고, 관리하고, 종료할 수 있습니다. 이 패널은 포지션 관리, 대기 주문 제어, 총수익 관리, 체결 속도를 하나의 전문적인 작업 공간에 통합하고 싶은 트레이더를 위한 솔루션입니다. 이것은 단순한 보조 유틸리티가 아닙니다. MetaTrader 5를 위한 진정한 trading cockpit입니다. 차트에서 직접 거래하고, 키보드로 빠르게 명령을 실행하며, 자동 계산과 시각적 가이드를 통해 수동 트레이딩을 더 빠르고, 더 명확하고, 더 편리하게 만들어 줍니다.  이 패널을 사용하면 차트에서 단 한 번의 클릭으로 거래를 실행할 수 있으며, 표준 MetaTrader 컨트롤보다 최대 30배 빠르게 거래 작업을 수행할 수 있습니다. 새로운 프리미엄 버전
SMC Trade Pilot MT5 Smart Money Concepts 트레이더를 위한 반자동 트레이딩 어시스턴트. 차트 스크린샷이 포함된 신호를 Telegram에서 받고, 한 번의 탭으로 트레이드를 실행하세요. 컴퓨터에서 떨어져 있어도 휴대폰에서 포지션을 관리할 수 있습니다. 해결하는 문제 Smart Money 셋업은 당신을 기다리지 않습니다. Order Blocks와 Liquidity Sweeps는 런던 개장, 뉴욕 개장 또는 아시아 세션 중에 형성되며, 이때 당신은 업무 중이거나 회의 중이거나 화면에서 떨어져 있을 때가 많습니다. 차트를 확인할 즈음이면 셋업은 이미 지나갔습니다. SMC Trade Pilot은 당신의 휴대폰을 실시간 트레이딩 콕핏으로 바꿔줍니다. 어시스턴트는 SMC 신호를 찾기 위해 차트를 24시간 스캔합니다. 셋업이 형성되면 완전한 트레이드 티켓을 Telegram 채팅에 전송합니다: 차트 스크린샷, 방향, 진입 가격, 권장 손절, 권장 익절, 품질 점수. 결
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Smart Exit EA
Bugra Kaan Yildirim
Smart Exit EA — Ride the Trend, Skip the Chop Smart Exit EA follows a trend with an adaptive ATR trailing line and stays in the move until the trend really turns. It is built for two problems every trend trader knows: getting shaken out of a good trade too early, and getting chopped up in a sideways market. Release notes, chart examples and new product announcements are posted on the TrendTower channel:   https://www.mql5.com/en/channels/trendtower What It Does Rides trends longer.   The trailin
FREE
Refine OBV
Bugra Kaan Yildirim
Refine OBV  Refine OBV measures cumulative volume flow read against its own adaptive signal line with a color-coded spread and non-repainting divergence detection. Raw On Balance Volume answers one question: is volume being credited to the buyers or the sellers? While useful, raw OBV is a single wandering line with no reference point. Refine OBV adds an adaptive EMA of the flow itself as a reference line. The distance between the flow and its signal line (the spread) is rendered as a color-coded
FREE
Smart Chandelier Exit
Bugra Kaan Yildirim
5 (3)
Smart Chandelier Exit Smart Chandelier Exit is an adaptive trailing-stop and trend-direction indicator. It plots a multi-layer ratchet stop line that follows price: green below price in an uptrend, red above price in a downtrend. The line only ever ratchets in the trend's favor, never against it, so it doubles as a mechanical trailing stop and a clear trend-state signal. What makes it smart is the built-in Pearson R trend-quality filter. A raw stop line tells you where the stop is; the Pearson R
FREE
Trix Trend
Bugra Kaan Yildirim
Trix Trend algoteknik · MetaTrader 5 Indicator Manual Overview Trix Trend is a momentum oscillator based on TRIX — the rate of change of a triple-smoothed exponential moving average of price. Triple smoothing removes most of the short-term noise, so the oscillator reacts to the underlying momentum of the move rather than to every small wiggle, while staying more responsive than a simple long moving average. The indicator draws a slope-colored TRIX line, a weighted signal line, a zero line, and t
FREE
SVS Assistant
Bugra Kaan Yildirim
SVS Assistant SVS Assistant is the execution half of Smart Volatility Squeeze MT5. It carries out the orders you request from that indicator's 1-Click Trading Desk, applies your risk rules to them, and manages the resulting positions. It is published free of charge. Please read this before downloading: it does not analyse the market and it produces no signals of its own. Without the Smart Volatility Squeeze indicator running on the same chart there is nothing for it to listen to, and it will do
FREE
Smart Volatility Squeeze MT5 Smart Volatility Squeeze MT5 is a volatility compression and momentum expansion indicator for MetaTrader 5. It builds on John Carter's Volatility Squeeze framework and extends the usual single-tier squeeze into three compression tiers, so you can see not only whether the market is compressed but how tightly it is compressed before it expands. The indicator opens in a separate window and draws two elements: a linear regression momentum histogram and a row of coloured
Quant Key Levels
Bugra Kaan Yildirim
Quant Key Levels, version 1.0. The reference levels a discretionary trader actually works from, on one chart and in one visual language. Eleven families, each on its own switch, and nothing on the chart that a level does not earn. What separates it from a pivot pack is not the number of families. It is that the things most level tools assume, this one measures. How far your broker's clock sits from UTC, measured out of your own terminal rather than typed into a box. Where an exchange actually op
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