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TITLE: MT5 Multi-Timeframe Trend Pullback EA with ATR Risk Management
BUDGET: $25 USD
PLATFORM: MetaTrader 5 (MQL5)
DESCRIPTION:
I need a professional, clean, and fully commented Expert Advisor (EA) developed for MT5. The strategy is a multi-timeframe trend-following system that trades pullbacks using Exponential Moving Averages (EMA), the Relative Strength Index (RSI), and Average True Range (ATR) for dynamic risk management.
The developer must deliver both the compiled (.ex5) and the raw source code (.mq5) with exclusive intellectual property rights remaining with the customer.
---
### 1. STRATEGY LOGIC & INPUTS
#### Indicators & Timeframes:
* **Trend Filter Timeframe (HTF):** 1-Hour (H1) or 4-Hour (H4) [User Input]
* **Trend Filter Indicator:** 200 Exponential Moving Average (EMA) applied to Close.
* **Entry Timeframe (LTF):** 15-Minute (M15) [User Input]
* **Trigger Indicator:** 14-period Relative Strength Index (RSI) applied to Close.
* **Volatility Indicator:** 14-period Average True Range (ATR) on the Entry Timeframe.
---
### 2. ENTRY RULES
#### A. Buy (Long) Entry Conditions:
1. **Trend Filter:** The current market price on the H1 chart must be ABOVE the H1 200 EMA.
2. **Pullback Trigger (M15):** The RSI (14) on the M15 chart must cross BELOW the 30 level (oversold) and then cross back ABOVE 30.
3. **Execution:** Enter a BUY order at the open of the very next M15 candle after the RSI cross-back confirmation.
#### B. Sell (Short) Entry Conditions:
1. **Trend Filter:** The current market price on the H1 chart must be BELOW the H1 200 EMA.
2. **Pullback Trigger (M15):** The RSI (14) on the M15 chart must cross ABOVE the 70 level (overbought) and then cross back BELOW 70.
3. **Execution:** Enter a SELL order at the open of the very next M15 candle after the RSI cross-back confirmation.
---
### 3. STRICT RISK MANAGEMENT & EXIT RULES (CRITICAL)
The EA must automatically calculate lot sizes and protect capital using the following rules:
* **Risk per Trade:** [User Input, Default = 1.0%] of total Account Balance.
* **Dynamic Stop Loss (SL):**
$$SL = \text{Entry Price} \pm (1.5 \times \text{ATR}(14))$$
* **Dynamic Take Profit (TP):**
$$TP = \text{Entry Price} \pm (3.0 \times \text{ATR}(14))$$
*(This guarantees a strict 1:2 Risk-to-Reward Ratio).*
* **Auto-Lot Calculation:** The EA must automatically calculate the contract/lot size based on the 1% risk of the balance and the distance to the SL in points.
* **Breakeven Trailing:** Once the trade reaches 1:1 Risk-to-Reward (halfway to TP), the EA must automatically move the Stop Loss to the Entry Price (Breakeven + Spread).
* **One Trade at a Time:** No grid, no martingale. Only 1 open trade allowed per currency pair at any given time.
* **Daily Max Drawdown Protection:** [User Input, Default = 3.0%]. If the daily equity drawdown reaches 3% of the starting daily balance, close all open trades, cancel pending orders, and disable the EA for the day.
*
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