Техническое задание
Goal: Production-grade MT5 EA implementing breakout strategy (1H + 15M confirm) with strict risk controls.
Entries: Triangles/flags/channels; confirm candle close only; H4 EMA200 bias; breakout quality (≥0.25×ATR close or 15m retest).
Risk & Mgmt: ATR SL (3.0×), RiskPercent sizing (+ manual override), Auto BE at 1R, Profit-Lock at $1,000 (locks ≥$100 or % of float).
Global Controls: MaxConcurrentAtRisk=2 across charts; MaxOpenRiskPct cap; MaxPositionsPerSymbol=1; correlation guard (one US index at a time; limit USD exposure with metals); session windows + cooldown; spread/volume gates; red-news pause.
Stability/UX: No duplicate orders on reload; basic dashboard; CSV telemetry with reason codes.
Symbols: XAUUSD, XAGUSD, US100, US500, UK100, GBPUSD, USDJPY, USDCHF, BTCUSD, ETHUSD.
Deliverables: .ex5 + full source (.mq5/.mqh), .set presets, short user guide, changelog, and acceptance-test evidence.
Acceptance (must pass): global at-risk cap incl. pendings; RiskPercent 0.25%→1.00% ≈ 4× lots; no array errors (6 symbols, 1M–1D, 2 weeks); reload → 0 duplicates; profit-lock ≥$1k locks ≥$100 or step %; open-risk cap never exceeded; correlation guard; daily giveback pause; session/cooldown and spread/volume/news blocks logged with reasons.
IP: Full source code and exclusive rights transferred on payment.
Attach: RFP PDF + .set (in ZIP). Please confirm your approach to global caps across charts, lot sizing for metals/indices, and reload idempotency.
Entries: Triangles/flags/channels; confirm candle close only; H4 EMA200 bias; breakout quality (≥0.25×ATR close or 15m retest).
Risk & Mgmt: ATR SL (3.0×), RiskPercent sizing (+ manual override), Auto BE at 1R, Profit-Lock at $1,000 (locks ≥$100 or % of float).
Global Controls: MaxConcurrentAtRisk=2 across charts; MaxOpenRiskPct cap; MaxPositionsPerSymbol=1; correlation guard (one US index at a time; limit USD exposure with metals); session windows + cooldown; spread/volume gates; red-news pause.
Stability/UX: No duplicate orders on reload; basic dashboard; CSV telemetry with reason codes.
Symbols: XAUUSD, XAGUSD, US100, US500, UK100, GBPUSD, USDJPY, USDCHF, BTCUSD, ETHUSD.
Deliverables: .ex5 + full source (.mq5/.mqh), .set presets, short user guide, changelog, and acceptance-test evidence.
Acceptance (must pass): global at-risk cap incl. pendings; RiskPercent 0.25%→1.00% ≈ 4× lots; no array errors (6 symbols, 1M–1D, 2 weeks); reload → 0 duplicates; profit-lock ≥$1k locks ≥$100 or step %; open-risk cap never exceeded; correlation guard; daily giveback pause; session/cooldown and spread/volume/news blocks logged with reasons.
IP: Full source code and exclusive rights transferred on payment.
Attach: RFP PDF + .set (in ZIP). Please confirm your approach to global caps across charts, lot sizing for metals/indices, and reload idempotency.
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