Vincent Vandeyua Orya / 프로필
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친애하는 트레이더 여러분,
수년간의 집중적인 학습과 외환 시장에 대한 직접적인 참여를 통해 저의 여정은 끊임없는 배움과 진화의 과정이었습니다. 처음에는 데모 계좌 대신 실제 시장 참여를 즉시 선택했는데, 이 길은 초기 자본 손실을 초래했지만, 성공에 결정적인 심리적 훈련에 대한 귀중한 실제 통찰력을 제공했습니다. 즉, 탐욕을 효과적으로 관리하고, 기회 손실에 대한 두려움(FOMO)을 극복하며, 지속적인 수익성을 위한 필수적인 인내심을 기르는 것입니다.
이러한 기본적인 경험은 매우 효과적이고 놀랍도록 간단한 수동 거래 전략 개발로 절정에 달했습니다. 이 전략은 쉽게 채택할 수 있도록 설계되었으며 지속적으로 최대 87%의 승률을 보여주었습니다. 이 전략이 수년간 꾸준히 수익성이 있었지만, 혁신에 대한 저의 타고난 욕구는 자동화를 탐구하도록 이끌었습니다. 이 중요한 단계를 아웃소싱하는 대신, MQL5 프로그래밍을 숙달하는 데 전념했습니다. "트레이더를 위한 MQL5 프로그래밍"의 포괄적인 자료를 활용하여 빠르게 숙련도를 얻었으며, 몇 달 만에 기능적인 MQL5 클래스, 스크립트 및 Expert Advisor(EA)를 성공적으로 개발했습니다.
이 개발의 정점은 "ISHEGUVE"입니다. 이는 MQL5 표준 라이브러리의 강력한 기능과 MQL5Book에서 얻은 지식을 바탕으로 첫 번째 원칙부터 세심하게 제작된 독점적인 Expert Advisor입니다. 저는 이 창조물과 그 성능에 대해 엄청난 자부심을 느낍니다.
MQL5.com 계정은 수년 전에 개설되었지만, 최근 계정 확인이 완료되기 전까지는 다른 곳에 주요 초점이 있었습니다. 이제 저는 이 활기찬 거래 커뮤니티에 적극적으로 참여하고, 마켓플레이스와 소통하며, 프리랜서 기회를 통해 저의 전문 지식을 제공하는 데 전적으로 헌신하고 있습니다.
저의 제품과 서비스를 살펴보시길 권유하며, 우리의 공동 성공에 기여할 수 있기를 기대합니다.
After more than six months of rigorous work on the Isheguve Algorithmic Trading Applications, the Isheguve Gold Trader successfully passed the standard validation test tonight.
The Isheguve has evolved into a highly sophisticated algorithmic trading system. The EA now boasts several institutional-grade features.
Here is a breakdown of its key features and why they provide a massive edge to users.
1. Virtual "Ghost" Order Routing
Instead of placing pending Buy Stop or Sell Stop orders directly on the broker's server, the EA stores these orders internally in a virtual queue (virtual orders array). It monitors the live price internally and executes instant market orders only when the price crosses the exact threshold.
Why it matters to users:
Broker Anonymity: Brokers and institutional algorithms cannot see the user's pending orders, preventing targeted stop-hunting or liquidity sweeps before a major move.
Spread Protection: It bypasses broker freeze levels and minimum stop distances, allowing the EA to execute exactly when the logic dictates, rather than when the broker permits.
2. Tri-Timeframe Chopy market & Consolidation Filters
The EA employs a "Circuit Breaker" system that monitors three distinct timeframes simultaneously (e.g., M15, H4, and D1). It calculates a mathematical baseline using ATR (volatility) and KAMA (Moving Average tangling and slope). If the market goes flat on 'any' of these timeframes, the EA halts execution.
Why it matters to users:
Capital Preservation: Trend-following algorithms traditionally bleed capital during ranging markets ("death by a thousand cuts"). This filter actively keeps the user out of the market during low-probability, choppy conditions.
Patience by Design: It forces the system to wait for genuine momentum and volume before deploying capital.
3. Multi-Timeframe Supply & Demand "Zones"
The EA draws higher-timeframe (HTF) Supply and Demand zones based on validated 5-bar structural fractals, projecting them forward in time. It then scans the base timeframe (BTF) for specific execution triggers-like a Change of Character (ChoCh) or Break of Structure (BOS)-"only" when the price is inside those HTF zones.
Why it matters to users:
High-Probability Entries: Users aren't just taking random breakouts. Every trade is backed by the weight of a major higher-timeframe structural level.
Visual Transparency: Because the EA draws the zones on the chart, the user can visually verify the algorithm's logic in real-time, building trust in the automated system.
4. Dynamic, Volatility-Adjusted Trade Management
Rather than relying on static pip values for Stop Losses and Take Profits, the system uses the Average True Range (ATR). Everything from the initial Stop Loss placement to Break-Even activation and Trailing Stop steps is dynamically obtained from current market volatility.
Why it matters to users:
Asset Adaptability: This is what allows the EA to survive highly volatile assets like Gold (XAUUSD). When the market breathes heavily, the stops widen to avoid premature knockouts. When the market is quiet, the stops tighten to reduce risk.
Securing Profits: The dual-stage trailing system quickly locks in a break-even state once a risk-multiplier is achieved, ensuring winning trades don't turn into losing ones.
5. Account Protection Input (Max Drawdown Limit)
The EA features a strict equity-management protocol. If the floating drawdown of open positions reaches the user defined percentage of the total account balance, the EA immediately acts as a kill-switch, liquidating the basket to prevent further loss.
Why it matters to users:
Peace of Mind: It guarantees the user cannot blow their entire account in a single black-swan market event.
Prop Firm Compliance: This feature is critical for users trading on funded accounts (like FTMO or other prop firms) where strict daily drawdown limits are enforced.
With these mechanisms fully integrated into Isheguve Gold Trader, the EA performs exceptionally well in the Strategy Tester over several different periods.
Conclusion: Although backtest results doses not guarantee future performance, an EA with all the highlighted features that shows good backtest results should definitely perform well on the future live market conditions.
By tomorrow nono, I should finalise the upload of the EA.
Isheguve Trend Scout로 시장 분석을 마스터하세요! 수동으로 추세선을 그리고 중요한 시장 변화를 놓치는 것에 지치셨나요? 🚀Isheguve Trend Scout는 차트에서 추세선을 자동으로 식별하고 그려줌으로써 귀하에게 우위를 제공하도록 설계된 MQL5 유틸리티 앱입니다. 왜 Isheguve Trend Scout를 선택해야 할까요? 🔥 손쉬운 추세 감지: ✅ 추측을 멈추고 앱이 대신 작업하도록 하세요. Trend Scout Pro는 과거 가격 데이터를 지능적으로 분석하여 중요한 스윙 포인트를 찾고 정확한 추세선을 자동으로 그립니다. 🔥 완전한 사용자 정의 가능: ✅ 귀하의 거래 스타일에 맞게 앱을 조정하세요. 상승 및 하락 추세선을 쉽게 활성화 또는 비활성화하고 선호하는 색상을 선택하여 개인화된 차트 뷰를 만드세요. 🔥 현재 시간대에서 모든 시간대 분석: ✅ 스캘퍼, 데이 트레이더 또는 장기 투자자이든 관계없이 현재 시간대의 가격 움직임을
2. Advanced Candlestick Pattern Recognition
Description: IsheguveScalper identifies a comprehensive suite of powerful candlestick patterns, giving you an edge in market reversals and trend continuations.
Advantages:
2.1. Early Signal Generation: Candlestick patterns are often leading indicators, meaning they can signal potential market shifts before other indicators confirm them. By recognizing a "comprehensive suite" of these patterns, IsheguveScalper can identify high-probability trade setups earlier, allowing for more favorable entry and exit points.
✅Identification of Reversals: Many powerful candlestick patterns (e.g., Engulfing patterns, Hammers, Dojis, Morning/Evening Stars) are specifically designed to signal a potential reversal in the current trend. An EA that can accurately detect these patterns can capitalize on turning points in the market, allowing it to enter trades at the beginning of new trends or exit existing trades before a reversal erodes profits.
✅ Confirmation of Continuations: Beyond reversals, some candlestick patterns (e.g., Three White Soldiers, Three Black Crows) indicate the continuation of an existing trend. The EA's ability to recognize these patterns means it can confidently hold positions or add to them, riding sustained market movements for greater profit.
✅ Insight into Market Sentiment: Each candlestick tells a story about the battle between buyers and sellers over a specific period. By recognizing patterns, the EA effectively "reads" market sentiment – whether buyers are gaining control, sellers are dominating, or there's indecision. This deeper understanding of market psychology, automated by the EA, can lead to more accurate trade decisions.
✅ Reduced False Signals (when combined with other analysis): While individual candlestick patterns can sometimes produce false signals, an "advanced" recognition system, especially when combined with other indicators (as implied by other features of the EA), can filter out less reliable patterns. This increases the overall accuracy of trade signals generated by the EA.
✅ Objective Analysis: Human traders can be prone to misinterpreting candlestick patterns due to emotional biases or lack of experience. An automated system like IsheguveScalper provides objective, rule-based recognition, ensuring consistency and adherence to predefined trading logic.
✅ Speed and Efficiency: Manually scanning charts for candlestick patterns across multiple currency pairs and timeframes is time-consuming and prone to human error. An EA can perform this analysis instantaneously and continuously, identifying opportunities that a human trader might miss.
✅ Enhanced Decision Making: By providing precise, automated identification of significant candlestick patterns, the EA equips itself with a powerful tool for making informed trading decisions, whether it's entering a new position, managing an existing one, or preparing for a market shift.
🚀✅In essence, IsheguveScalper's advanced candlestick pattern recognition feature gives it a highly sophisticated "eye" for reading market price action. This allows it to proactively identify potential turning points and trend strengths, providing a significant advantage in executing timely and profitable trades.
https://www.mql5.com/en/accounting/buy/market/142818
Here's a summary of all its features.
📈 What Makes IsheguveScalper Stand Out?
1. Intelligent Money Management & Risk Control.
2. Advanced Candlestick Pattern Recognition.
3. Robust Indicator Confirmation.
4. Flexible Trade Execution & Management.
1. 🔥Intelligent Money Management & Risk Control.
The IsheguveScalper EA boasts several powerful features centered around intelligent money management and risk control, which are crucial for consistent and disciplined trading. Let's break down the advantages of each:
1.1. 🚀 Dynamic Lot Sizing
Description: The EA automatically calculates the optimal lot size for each trade based on a configurable maximum risk percentage (e.g., 1% of equity per trade).
Advantages:
✅ Protects Capital: This is arguably the most significant advantage. By risking a fixed percentage of your equity per trade, you ensure that no single loss can significantly deplete your account. If your equity decreases, the lot size will automatically decrease, reducing your exposure. Conversely, if your equity grows, the lot size will increase, allowing you to compound your gains efficiently.
✅ Adapts to Account Growth/Drawdown: Dynamic lot sizing naturally scales your trading activity with your account performance. This is far superior to fixed lot sizes, which can lead to over-leveraging during drawdowns or under-utilizing capital during periods of growth.
✅ Removes Emotional Bias: Manually calculating lot sizes can be tedious and prone to emotional decisions (e.g., risking more than planned after a winning streak). Automation ensures consistency and discipline.
✅ Optimizes Profit Potential: As your account grows, dynamic lot sizing allows you to gradually increase your exposure, maximizing the compounding effect of profitable trades without increasing your risk per trade percentage.
1.2. 🚀🚀Adaptive Risk Adjustment
Description: The EA reduces lot size after a specified number of consecutive losses (e.g., 20% decrease after 1 loss) and resets after a win, helping to protect your capital during drawdowns.
Advantages:
✅ Drawdown Protection: This feature is a proactive measure against prolonged losing streaks. By reducing lot size after consecutive losses, the EA automatically lessens the impact of further losses, giving your account a better chance to recover. This is a critical aspect of "survivability" in trading.
✅ Reduces Emotional Stress: Knowing that the EA will automatically adjust risk during difficult periods can significantly reduce the psychological burden on the trader.
✅ Enhances Longevity: By systematically reducing exposure during unfavorable market conditions or strategy performance, the EA helps preserve capital, allowing the system to remain in the market longer and wait for more favorable conditions to return.
✅ Automated Recovery Mechanism: The reset after a win encourages a measured increase in risk as the EA proves its ability to generate profits again, allowing for gradual recovery without being overly aggressive.
1.3. 🚀🚀Flexible Stop Loss & Take Profit
Description: You can set your Stop Loss offset in points (e.g., 20 pips) from detected patterns and define your desired Risk-to-Reward Ratio (e.g., 1:10) for disciplined profit targets.
Advantages:
✅ Risk Management: Stop Loss (SL) is a fundamental risk management tool. By setting it at a specific offset from detected patterns, the EA ensures that every trade has a predefined maximum loss, preventing catastrophic losses from unexpected market movements.
✅ Profit Maximization (with discipline): Take Profit (TP) allows the EA to automatically lock in profits when a predefined target is reached. This removes the temptation to let winning trades run too long and risk a reversal, or conversely, to close them too early out of fear.
✅ Disciplined Exits: Both SL and TP ensure that trades are closed objectively, based on pre-set parameters, rather than emotional decisions. This consistency is vital for long-term profitability.
✅ Defined Risk-to-Reward Ratio: Setting a specific Risk-to-Reward (R:R) ratio, like 1:10, forces a systematic approach to trade selection. It means that for every 1 unit of risk, the EA aims for 10 units of profit. This ratio is a cornerstone of profitable trading, as it allows a system to be profitable even with a relatively low win rate.
✅ Automated Execution: The EA handles the placement and management of these orders, freeing the trader from constant monitoring and allowing them to focus on other aspects or simply let the EA run.
✅ Strategic Alignment: By setting SL based on "detected patterns," it implies that the stop loss is placed logically in relation to the market structure that triggered the trade, increasing the probability of it being a technically sound exit point.
🚀✅In summary, the IsheguveScalper EA's money management and risk control features are designed to create a robust and resilient trading system. They automate critical aspects of risk management, protect capital during drawdowns, adapt to account performance, and enforce disciplined trade exits, all of which are paramount for achieving long-term consistency in trading.
https://www.mql5.com/en/market/product/142818?source=Site+Market+MT5+Search+Rating006%3aIsheguveScalper
ISHEGUVE SMART TRSDER's Key Features at a Glance, Backed by Performance:
📈 Intelligent Trade Entry & Exit:
Advanced Pattern Recognition: Utilizes a comprehensive suite of candlestick patterns including Morning Star, Morning Doji, Hammer, Engulfing, Harami, Piercing Line, Meeting Lines, Three White Soldiers, Three Black Crows, and Pin Bars.
Multi-Indicator Confirmation: Signals are confirmed by RSI (Relative Strength Index) for overbought/oversold conditions and SMA (Simple Moving Average) for trend direction, ensuring high-probability setups.
Bulls/Bears Power Integration: Further validates trade signals with the strength of market participants.
RSI-Based Exits: Dynamically closes positions when RSI indicates reversal or continuation levels are met, ensuring timely profit-taking or loss cutting.
💰 Sophisticated Money Management:
Risk-Based Lot Sizing: Automatically calculates optimal lot size based on your defined maximum risk percentage per trade (e.g., 1.0%) and Stop Loss in account currency (e.g., 20.0 USD).
Adaptive Lot Adjustment: Implements a unique strategy to decrease lot size (e.g., by 0.8 factor) after a configurable number of consecutive losses (e.g., 2 losses), and resets on a win, protecting your capital. This proactive approach helps mitigate prolonged losing streaks, a key factor in the high Short Trades won % (79.39%) and Long Trades won % (93.30%).
Configurable Risk-Reward Ratio: Set your desired profit target based on your Stop Loss (e.g., 1.5 Risk-Reward).
🛡 Dynamic Position Control:
Currency-Based Trailing Stop: Protects profits by trailing your Stop Loss based on currency values (e.g., starts trailing after $50.0 profit, steps by $10.0, with a $5.0 offset), locking in gains as the market moves in your favor.
Pending Order Management: Places Buy Stop/Sell Stop orders with a configurable offset (e.g., 10 points) from pattern highs/lows.
Time-Based Position Expiry: Optionally closes positions after a specified number of bars (set to 0 for disabled by default, but customizable).
Session-Based Trading: Automatically ceases new order placement 30 minutes before your defined session end time (e.g., 23:55) and closes all open positions 10 minutes before, ensuring you avoid volatile closing moments.
Slippage Control: Minimizes unexpected price deviations with a maximum slippage setting (e.g., 10 points).
Why Choose ISHEGUVE SMART TRSDER?
Proven Performance: The backtest results speak for themselves, showcasing consistent profitability and robust risk management. The Maximum Drawdown Relative of 8.86% (8.75%) and Maximum Drawdown Absolute of 2,055.27 (3.16%) are remarkably low for such substantial gains, highlighting the EA's capital protection capabilities.
Automated Discipline: Removes emotional trading by adhering strictly to predefined rules, leading to more consistent and objective trading decisions.
Capital Protection: Advanced money management, adaptive lot adjustment, and trailing stops are meticulously designed to safeguard your trading account, as demonstrated by the low drawdowns.
Customizable Strategy: Adjust key parameters like RSI levels, MA periods, risk percentages, and trailing stop settings to fit your unique trading style and evolving market conditions.
Comprehensive Error Handling: Built-in mechanisms to detect and report potential issues directly on your chart, keeping you informed.
The scatter plot (as seen in SressTestIsheguveSyntheticsM1ascket02.png ) illustrates a positive correlation between profit and drawdown, confirming the EA's ability to generate significant profits while maintaining controlled risk. The average positive trade of 298.42 significantly outweighs the average negative trade of -205.83, contributing to the impressive Expected Payoff of 7.37.
Take control of your trading with ISHEGUVE SMART TRSDER – your intelligent partner for consistent and disciplined market execution and the future of forex!
ISHEGUVE 스마트 트레이더로 거래 잠재력을 발휘하세요! 강력하고 지능적이며 맞춤 설정 가능한 거래 솔루션을 찾고 계신가요? ISHEGUVE 스마트 트레이더는 고급 기술 분석과 강력한 자금 관리를 활용하여 MetaTrader 5 거래에 비할 데 없는 정밀성과 규율을 제공하도록 설계되었으며, 이는 인상적인 백테스팅 성능으로 입증되었습니다. ISHEGUVE 스마트 트레이더로 외환 거래의 미래를 경험하세요: 제공된 스트레스 테스트 결과는 ISHEGUVE 스마트 트레이더의 시간이 지남에 따른 놀라운 일관성과 수익성을 보여줍니다. 초기 예치금 100.00으로, 이 시스템은 단 1년 6개월이라는 기간 내에 총 238,808.00의 순이익을 창출했으며, 총 이익 274,248.96에 대해 총 손실은 -35,240.96을 기록했습니다. 이는 상당한 수익성 요소 7.57과 뛰어난 회복 요소 113.39로 이어지며, 손실로부터 회복하고 상당한 수익을 창출하는 탁월한 능력을 나타냅니다. 자산
I have a collection of code structures, very informative and easy to manipulate. They're primarily helpers for different functions such as System Control functions, Candlesticks Patterns Detection & Confirmation, signal generation logics as wellas trading logics and Chart customization.
Please feel free to approach me for any of these.
For Example: //--- Helper for Dark Cloud Cover pattern (moved from Isheguvesignals class)bool IsDarkCloudCover(int shift, int avgBodyPeriod = 20, int trendLookbackPeriod = 5) { if(!UpdateRates()) return false; if(::Bars(_Symbol, _Period) < shift + 1 || ::Bars(_Symbol, _Period) < avgBodyPeriod + 1 || ::Bars(_Symbol, _Period) < trendLookbackPeriod + shift + 1) return false;
double avgBody = AvgBody(avgBodyPeriod); if(avgBody <= 0.0000001) return false;
bool cond1_bullish_body = IsBullish(shift + 1) && (GetBody(shift + 1) > avgBody); bool cond2_bearish = IsBearish(shift); bool cond3_close_lower = GetClose(shift) < GetClose(shift + 1); bool cond4_close_within_body = GetClose(shift) > GetOpen(shift + 1); bool cond5_uptrend = MidOpenClose(shift + 1) > CloseAvg(trendLookbackPeriod, shift + 1); bool cond6_gap_up = GetOpen(shift) > GetHigh(shift + 1);
return cond1_bullish_body && cond2_bearish && cond3_close_lower && cond4_close_within_body && cond5_uptrend && cond6_gap_up; }
//--- Helper for Piercing Line pattern (moved from Isheguvesignals class)bool IsPiercingLine(int shift, int avgBodyPeriod = 20, int trendLookbackPeriod = 5) { if(!UpdateRates()) return false; if(::Bars(_Symbol, _Period) < shift + 1 || ::Bars(_Symbol, _Period) < avgBodyPeriod + 1 || ::Bars(_Symbol, _Period) < trendLookbackPeriod + shift + 1) return false;
double avgBody = AvgBody(avgBodyPeriod); if(avgBody <= 0.0000001) return false;
bool cond1_bullish_body = IsBullish(shift) && (GetBody(shift) > avgBody); bool cond2_bearish_body = IsBearish(shift + 1) && (GetBody(shift + 1) > avgBody); bool cond3_close_higher = GetClose(shift) > GetClose(shift + 1); bool cond4_close_within_body = GetClose(shift) < GetOpen(shift + 1); bool cond5_downtrend = MidOpenClose(shift + 1) < CloseAvg(trendLookbackPeriod, shift + 1); bool cond6_gap_down = GetOpen(shift) < GetLow(shift + 0);
double prev_body_range = GetOpen(shift + 1) - GetClose(shift + 1); bool cond7_piercing_level = GetClose(shift) > (GetClose(shift + 1) + prev_body_range * 0.5);
return cond1_bullish_body && cond2_bearish_body && cond3_close_higher && cond4_close_within_body && cond5_downtrend && cond6_gap_down && cond7_piercing_level; }

