Open order script

Данный софт позволяет вам управлять своими параметрами риска и мани менеджмента. Вы можете задавать параметр риска как на текущий капитал, так и на предполагаемый уровень депозита, что позволит контролировать риски в каждой сделке и в каждом активе. Open order script также позволяет задать фиксированный объём открытия операций и вести торговлю «в один клик» благодаря реализации дополнительных кнопок Sell / Buy непосредственно на график.

Особенность скрипта


Ключевой особенностью и характеристикой работы скрипта является то, что он работает по bid ценам. То есть, если вы хотите совершить покупку от ключевого уровня, то стандартно она совершается по цене Ask. Но скрипт дождётся непосредственного касания уровня Bid цены и только тогда рыночным уровнем откроет сделку. Таким образом, вы теряете уровень спреда в прибыльных позиций и также увеличивается убыток на спред. Но! Вы лишаете себя ложных входов в рынок из-за расширения спреда. Также такое правило касается закрытия позиций на продажу. SL для коротких позиций сработает только тогда, когда уровень будет достигнут Bid ценой.


Для закрытия позиций используются виртуальные ордера, поэтому ваш брокер не сможет выбивать открытые сделки и не будет знать ваши уровни выхода торговой операции.


Кнопка


При нажатии на кнопку выставляются 3 линии. Если Sell, то линии ниже цены на 5 пунктов; если buy, то выше цены на 5 пунктов. Также в пропорции уровни SL и TP.

Линия отложенного ордера


На линии отображается объем (который будет определяться по размеру линии отложенного ордера к SL на заданный риск на сделку). Линию можно "двигать" что будет производить к изменению объёма позиции. Скрипт не выставляет отложенный ордер. Вход в позицию осуществляется рыночным ордером по одному из следующих условий, которые можно выбрать в настройках:

·        Первый способ (выбирается в параметрах): цена закрыта ниже/выше линии отложенного ордера, то только тогда открывается сделка. 

·        Второй способ (выбирается в параметрах): цена коснулась линии открытия и ордер на покупку или продажу осуществляется только по Bid-котировке.

Линия Stop Loss


На линии отображается убыток в $ если сделка будет открыта по линии отложенного ордера и достигнет линии SL. Уровень убытка зависит от риска на сделку, который задается в параметрах или же фиксированного объёма. Срабатывание уровня SL точно также, как и открытие осуществляется в двух режимах: 

·        Первый способ (выбирается в параметрах):  цена закрыта ниже/выше линии Stop Loss, то только тогда закрывается убыточная позиция. 

·        Второй способ (выбирается в параметрах): котировки достигают заданного уровня и по касанию bid ценой уровня закрываются. 

Линия Take Profit


На линии отображается прибыль в $ если сделка будет открыта по линии отложенного ордера и достигнет линии TP. Закрытие по TP осуществляется только по условию касания цены линии. Работает стандартно.

Параметры скрипта:


·           Risk per trade: Задается в процентах от баланса (по дефолту - 1.00%);

·           Capital: true / false -> По дефолту "false", но если ставим "true" и указываем сумму депозита, то риск считается не на баланс, а на сумму указанную ниже;

·           Amount of capital: по дефолту 0. (если предыдущий параметр "true", то скрипт считает риск от заданной здесь суммы);

·           Open order (closingprice): true / false -> По дефолту "true " -> Если "true", то открываются ордера только после закрытия свечи выше/ниже линии отложенного ордера; если "false", то открывается по bid-цене. 

·           Stop loss (closingprice): true / false -> По дефолту "true" -> Если "true", то закрывается убыток только если цена выше (для продаж) / ниже (для покупок) от уровня SL; если "false", то закрывается по касанию цены bid.


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Santiago Nicolas Pla Casuriaga
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Welcome to ENTRY IN THE ZONE WITH SMC MULTI TIMEFRAME Entry In The Zone and SMC Multi Timeframe is a real-time market analysis tool based on Smart Money Concepts (SMC), designed to analyze market structure, price direction, and key trading zones. It supports both Single-Timeframe Analysis and Multi-Timeframe Analysis, providing a clearer view of the overall market structure across multiple timeframes, with real-time BUY / SELL signals that do not repaint. It is designed to help filter trading op
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Trade Manager para ajudá-lo a entrar e sair rapidamente de negociações enquanto calcula automaticamente seu risco. Incluindo recursos para ajudar a evitar negociações excessivas, negociações de vingança e negociações emocionais. As negociações podem ser gerenciadas automaticamente e as métricas de desempenho da conta podem ser visualizadas em um gráfico. Esses recursos tornam este painel ideal para todos os traders manuais e ajudam a aprimorar a plataforma MetaTrader 5. Suporte multilíngue. Vers
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VirtualTradePad PRO SE MT5 — centro profissional de controle de trading para MetaTrader 5 VirtualTradePad PRO SE é um painel de trading premium baseado no gráfico e um ambiente de gerenciamento de operações para MetaTrader 5 . Ele foi desenvolvido para traders que desejam execução mais rápida, controle de posições mais claro, gerenciamento de trades estruturado, planejamento visual de níveis e um fluxo de trabalho profissional diretamente no gráfico. Não é apenas um painel de COMPRA / VENDA. O P
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Atenção: A versão demo para revisão e teste está aqui . YuClusters é um sistema profissional de análise de mercado. O trader tem oportunidades únicas para analisar o fluxo de pedidos, volumes de negociação, movimentos de preços usando vários gráficos, perfis, indicadores e objetos gráficos. O YuClusters opera com base em dados de Tempos e Negócios ou informações de ticks, dependendo do que está disponível nas cotações de um instrumento financeiro. O YuClusters permite que você crie gráficos com
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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
Risk Manager Pro MT5 is an account protection Expert Advisor for traders who want strict risk control inside MetaTrader 5. The utility monitors your account equity, daily and weekly results, drawdown, open positions, trade count, consecutive losses, and trading hours. When a configured limit is reached, it can automatically close positions, cancel pending orders, stop other EAs, send notifications, or close the terminal. Instead of relying on discipline during a stressful trading session, you de
The product will copy all telegram signal to MT5 ( which you are member) , also it can work as remote copier.  Easy to set up, copy order instant, can work with almost signal formats, image signal,  s upport to translate other language to English Work with all type of channel or group, even channel have "Restrict Saving Content", work with  multi channel, multi MT5 Work as remote copier: with signal have ticket number, it will copy exactly via ticket number. Support to backtest signal. How to s
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Henry Lyubomir Wallace
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DashPlus é uma ferramenta avançada de gerenciamento de operações projetada para melhorar a eficiência e a eficácia das suas transações na plataforma MetaTrader 5. Ela oferece um conjunto completo de funcionalidades, incluindo cálculo de risco, gestão de ordens, sistemas de grade avançados, ferramentas baseadas em gráficos e análise de desempenho. Principais Funcionalidades 1. Grade de Recuperação Implementa um sistema de grade flexível e de média para gerenciar operações em condições adversas de
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Технический индикатор Trend Moving Average позволяет определить глобальное направление рынка. Данный технический индикатор создан для того, чтобы определить «линию наименьшего сопротивления» рынка и понять в какую сторону направлен тренд. Помимо классического использования МА, индикатор позволяет понять направленность рынка на основе динамики его значений. Так, если значение индикатора демонстрируют переход с нисходящего значения в восходящее (и наоборот) - это является дополнительным торговым с
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The technical indicator "Reversal patterns" is a mathematical interpretation of the classic reversal patterns: Pin Bar, Harami and Engulfing. That is, the "reversal bar", "Harami" and "Absorption". This indicator allows you to determine the moment of reversal of quotes based on market dynamics and the winner between the "bulls" and "bears". The indicator displays the moment of reversal at the local highs and lows of the chart of any timeframe, which allows you to increase the accuracy of the s
Технический индикатор Angry Alligator является расширенной авторский интерпретацией индикатора от B. Williams’а. Данный индикатор имеет такие же принципы работы, что и классический индикатор Alligator и основан на тех же параметрах. Ключевым отличием и преимуществом данного индикатора заключается в том, что в нем реализован дополнительный торговой сигнал в виде ещё одной линии. Продолжая тему B. Williams’а сигнал отображает «укус» котировок индикатором - Alligator’s Bite. Дополнительный параметр
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Технический индикатор "Reversal patterns" является математической интерпретацией классических разворотных паттернов: Pin Bar, Harami и Engulfing. То есть «Разворотного бара», «Харами» и «Поглощения». Данный индикатор позволяет определить момент разворота котировок на основе рыночной динамики и победителя между «быками» и «медведями».  Индикатор отображает момент разворота на локальных максимумах и минимумах графика любого таймфрейма, что позволяет повысить точность сигнала. Также индикатор имеет
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