Техническое задание

Tengo una estrategia en tradingview, que exije la confluencia de 4 indicadores que son comunes, y casi segro que tambien estan en MT% ya programados.


habria que programar en mt5 como indicador/ EA, y poder usarla para hacer backtest: 


se necesitan 4 indicadores (todos los parámetros de estos indicadores deben ser configurables… longitud de SMMA… periodos de los fractales etc. Los indicadores en tradingview se llaman:


1 Smoothed Moving Average (SMMA)

2 Relative Strength Index (RSI) (con su ma interna)

3 Time Segmented volume (by vitelot)

4 Williams fractals



El indicador debe pintar una orden de compra cuando:


1 el precio esta por encima de la SMMA

2 La RSI esta por encima de su EMA

3 La TSI esta por encima de 0 (cero)

4 la vela cierra rompiendo el fractal (superior) anterior



El indicador debe pintar una orden de venta cuando:


1 el precio esta por debajo de la SMMA 

2 La RSI esta por debajo de su EMA

3 La TSI esta por debajo de 0 (cero)

4 la vela cierra rompiendo el fractal (inferior) anterior


Una vez se produzcan estas condiciones, la EA debe:


1 Abrir la operación de compra o venta

2 Poner un stop fuera de X velas antes (cofigurable por numero de velas)

3 Calcular el lotsize para que el riesgo sea 1% de la cartera total (querría que el % también fuese configurable)

4 Poner un profit a X distancia (si hacemos risk reward 1:1… misma distancia que el stop, pero en profit… si hacemos 1,5:1, 1,5 la distancia de stop, en profit… etc.)


Una vez abierta la operación y puestos stop loss profit y lotsize, el stop debe ser trailing y configurable… por ejemplo: cuando el precio llegue al 50% de profit esperado, que el SL se mueva a break even… cuando llegue al 80% que el SL se mueva al 50% de profit…. Etc.


Protecciones:


Debe operar solo durante el horario indicado 

Si la EA pierde el 4% de la cartera en 1 dia, debe para de operar

Si el balance de la cartera baja hasta X cantidad, que pare de operar.


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