Gold Hourly Breakout EA

The EA (Expert Advisor) is only attached to the pair it is intended for  XAUUSD/GOLD,  in the TF (TimeFrame) M5! 🕒


Use Guide Complete in this Link   

PLEASE READ

Use Guide    https://docs.google.com/document/d/1dH6vMYZFSddo0_vd9j-Kxs1cPzUMxxLwgOna9H3JoeM/edit#heading=h.9hhcmqq153x2

PLEASE READ 

How the Strategy Works!

This strategy is created based on intelligent analyses and strategic mathematical placements of transactions so that the daily success rate is very high with a REAL percentage of 98-99%, counting the days won in relation to the days lost.


The strategy begins by placing two Stop orders (a Buy Stop and a Sell Stop) at a carefully chosen distance based on the hourly analysis ("Hour A" and "Hour B" are also very important), and at the designated "Open Hour" carefully selected and discovered in extensive testing. These transactions are placed, and when one of these orders is activated, the other pending order is automatically deleted. Thus, we have only one transaction active, and if it reaches TP, the trading day ends with the targeted profit in the account! 🎯


If this transaction reaches SL, then the second transaction comes into play, which enters at the SL spot of the first transaction and has a shorter TP distance and a larger lot calculated so that it recovers the loss of the first transaction and brings in the surplus profit aimed for the daily target necessary. Usually, in 22 trading days on average, we have 18 days through which TP is reached with just a single order and 4 days where we have the 2nd order as a recovery! 📈


The strategy will never use more than 2 orders per day! It does not multiply indefinitely! If both orders hit SL then we declare a lost day and the transactions stop there! (this happens in 2% of cases) We do not take on other unnecessary risks, the strategy is not based on endless recovery but on the meticulous placement of the first transaction so that it reaches TP as quickly as possible.


The strategy is based especially on the first transaction which has a success rate of approximately 80%, and the second transaction can be optional at your choice, and this increases the success rate to 98%, therefore it is recommended to use this one as well ! 


So, we cannot lose more than we choose to risk, we will see below exactly how it works and the presentation of all entries from the EA.


Also, there are no transactions from one day to the next, all have a daily "Open Hour" at the same time depending on the pair and "Close Hour" likewise. For example, for XAUUSD transactions will be placed before the opening of the London Session and closed at the end of the session, and for US30 transactions will open before the NY session and close at the end of it! Usually, transactions are finalized in the first hours after placement, very rarely do they reach the closing hour without being already finalized!


We can see how wonderful the intelligent and strategic placement of transactions is so that we win most of the time! 🚀


How to Use the EA 📊

     After attaching the EA to the chart ( TimeFrame M5 ), it's necessary to adjust the input times according to UTC! 

     How do we do this?




We can see in the EA input for each pair that next to each Variable, the required UTC time for operation is listed. 

We only need to adjust Hour A, Hour B, Open Hour, and Close Hour; the minutes always remain by default! ⏰

   To correctly synchronize the times, it's necessary to check the current time of our broker in the Market Watch section (see in the attached image),

and then depending on the required UTC time which is listed in the input and in the chart created below for Standard UTC or UTC Summer DSL (check which period of the year we are in, when we switch to summer time we use UTC Summer, and after October we use Standard UTC)

If you use a broker like mine (SwitchMarket) that uses GMT+2 (Standard) or GMT+3 (Summer DST), then run in default mode because these hours are added in the input to synchronize with UTC time.


In the input, we have the option to select the risk of the first transaction in percentages (Risk %) or dollars (Risk $) (Recommended) under "Select Loss Value Type"! And in the "Max Loss Value" section, we enter the sum or percentages we choose!





This means that in the case of the SL (Stop Loss) of the first transaction, we will only lose the amount registered here! 

   The value of the profit will be RR 1 / 0.5, meaning half of the sum risked minus the broker's fees, for example, if we risk $10, we will have a profit of approximately $4-5 depending on the broker 💵, and in case a second cover transaction is needed (its purpose is to recover the first loss and to bring the daily target) 🎯. 


   The second transaction, if used (usually in a month out of 22 trading days on average, 18 days are concluded using just the first transaction, and 4 by activating the second cover transaction) will have an RR 1 / 0.25, using a larger lot and a shorter TP distance thus it will reach TP in 98% of cases (SL of both transactions in the US30 history happened only 3 times in the last 2 years) 📉📈. Thus in the second transaction in our example, we will have a risk of $70 and a profit of 0.25 meaning approximately $18 which means that we will recover the first transaction's loss of $10 and will have a profit of $7-8 hence we reached the daily target!



A major advantage is that the EA automatically calculates the lot size based on the sum you chose as a risk in the input, so in the case of SL, you do not lose more than you choose to risk! You can choose this in percentages or in dollars! 

It is recommended to use risk input by selecting "$" dollars, because by always using a fixed amount, the risk will remain the same, and implicitly, recovery in the case of SL will be exact. Using percentages, the risk increases along with the account size. After both SLs, depending on the percentage used, the amount at risk decreases, so the recovery period can be extended. Therefore, by using a fixed amount, mathematically, the profit and loss will be fixed, making it easy to calculate and predict the number of days needed for recovery in the case of SL for both orders.


Thus, management becomes so simple and easy to apply both in personal accounts and in funded accounts. Also, when entering this value, it is recommended not to exceed the account margin depending on the broker, so that the cover order can be placed.

 📊💡


Be mindful of the risk level you choose so that it aligns with the margin of your account. An overly high risk assigned to a transaction can prevent the placement of the cover order due to a margin call. Consequently, choose the risk level considering the cover order and your account type based on its size and leverage so that everything can proceed smoothly.


Also, the EA automatically takes the minimum or maximum lot size accepted by the broker so that the order is placed within their requirements! 🤖✅



The first order can also be used alone because the strategy is profitable as seen in the history on average 18 days out of 22 end with just the first transaction without the need for the second one (my recommendation is to use the cover order since the possibility of both hitting SL is very rare) 🔍📊.

 Even if this happens, recovery will be quick in just a few days, being used on both pairs recovery will be done in approximately 7-8 days ( we will see exactly how by viewing the exemplary message of a Simulation presented at the end of the guide (Is recommended to use risk input by selecting "$" dollars)  ), so how is it to have the TP target reached every day and to have only a few lost days a year? Which we will recover quickly!

   Therefore, the mathematical placement is astonishing as it allows us to profit from market conditions! 🚀


In the input, you have the option to select if you want this in the section "Use Cover Order" selecting "true" by default or "false" ✅❌.


Also in the input you have the possibility to change the value with which the lot of the Cover order is multiplied by "Multiplied Cover Lot", this value is set by default x 7, a value that is also calculated to recover the loss of the first order and to bring the daily target as a surplus . You can choose to modify this so that you only partially recover.



Activating it is recommended, as I've mentioned, because it creates an even higher success rate, ensuring that each day brings us to our daily target, knowing that the risk percentage is very low!


Also, we must be aware that the SL value of this cover order is the Risk initially added in the input multiplied by approximately 7  , as specified in the variables (example: if we've added $5 in Max Loss Value, then the maximum loss of the first order will be $5, and the maximum loss of the cover order will be 7x, i.e., $35 in case of SL).


But this should not scare us since we've seen that the risk is minimal; it should only help us to know how much we can risk so that we fit into using a funded account! At the end of the description, I also attach an example of management so that you can use the strategy in a funded account (Bonus) and a simulation of the risk and profit calculation generated by the EA. 💡📈



Another advantage is the Trailing function, as this feature can be customized to activate at the percentage value set by the user in the "Trailing Start" input and then follow the market with a step back using "Trailing Step". The greatest advantage of this function is that it changes both SL and TP to be able to follow the market if it continues correctly, widening the distances from the current price as the market continues. This allows the transaction's profit to be increased if the market maintains the correct direction, as it no longer has a fixed SL and TP but is dynamic, following the market!


The function comes activated by default but it is not mandatory to use it; however, it can create an even higher success rate, knowing that in history, transactions that eventually hit SL were initially close to TP! If you wish to not use it, you can do so by selecting "Use Trailing" to "False". 💡📊


From tests, it is recommended to use the percentages in the default mode, but they can be adjusted according to your preferences.


Simulate!

Let's simulate an example to see the profit generated and the risk assumed:

We use an Initial Risk on the first order of $50

We know from the 2-year statistics that out of a total of 22 trading days per month, we have an average of 18 days gained through the first order and 4 through the activation of the second order

Using only the first order, you get the profit like this, having, as we saw, in 18 days with a RR 1/0.5, which is about $25 in our case:

18 x $25 =  $450

And in 4 days we have SL for the first order

4 x $50 = $200

So if we choose to use only the first order we will have a monthly profit in our example of $250

However, using the second order (Cover Order) intelligently, the data of the problem changes by substantially increasing the winning rate!

The risk for Cover Order as we have seen is the initial risk x 7, in our case for this second order the risk will be 7 x $50 = $350

Using the cover order, you get the profit like this, having as we saw on average 4 days in which this order is activated and here the TP distance being even shorter as we saw above and to increase the probability that the TP will be quickly reached, because that's what we need, we will have a RR 1/0.25 which is about $77.5 Profit in our case

Thus, in the 4 days on average when this order is used, the remaining profit will be

  $27.5, so by rounding I basically made the daily target

Thus we will have 22 days x $25 = Total Profit $550

It's just an example, you can choose any amount you want as risk according to your budget

If in the example above we used an account of $1000 then a profit of 55% would result in a month with a maximum risk in 18 days of 5% and in 4 days  of 35% 


Using the strategy in the same account with both pairs doubles these numbers! 


As you have seen, the strategy works in different time intervals for US30 and XAUUSD, usually the XAUUSD transactions are already completed when the ones from US30 are placed, if it is not completed then they are interspersed only for about 2 hours, that is why they can use both pairs successfully in the same account, with optimal management if you use funded accounts as in the example that will be presented below


These numbers can be slightly different due to broker fees or using BE which, as we have seen, can stop the transaction at 75% of the TP distance! 

=======================================================

Now let's consider a negative scenario that happens in 2% of cases:

Both trades hit SL on the same day!

Risking $50 on the first order and $350 on the second will result in a maximum possible risk of $400

In this case we will need on average 16 days to recover this loss, i.e. $400 : $25 (daily target in our case) = 16 days

And if we also use the XAUUSD pair with the special strategy for it, then the recovery period decreases to 8 days!

If we use all 4 pairs (XAUUSD, US30, USDZAR , USDJPY), the numbers become even larger, and the recovery is faster depending on the chosen input settings (Trailing, Multiply Cover, broker fees).

So what happens if we hit both SL? we need 8 days on average for recovery, it's not much if we consider the winning rate!

In these 2 years since this strategy has been used on US30, 3 such scenarios have happened (2 of them closed at closing time with a minus smaller than the total risk, i.e., a small loss), but it doesn't matter the gloomy scenario, so basically in 2 years it took 48 days of recovery and in the rest of the days of Profit, Profit, Profit, day by day for 2 years until now 01.02.2024 the moment of creating this course

It is amazing! 


  Mathematics and its intelligent use help us to be a Winning Trader in 98% of cases! 🚀📈💰


It is recommended to use risk input by selecting "$" dollars, because by always using a fixed amount, the risk will remain the same, and implicitly, recovery in the case of SL will be exact. Using percentages, the risk increases along with the account size. After both SLs, depending on the percentage used, the amount at risk decreases, so the recovery period can be extended. Therefore, by using a fixed amount, mathematically, the profit and loss will be fixed, making it easy to calculate and predict the number of days needed for recovery in the case of SL for both orders.

Funded Account

Now let's see how we effectively use the strategy in financing accounts to have access to more capital and consequently a higher monthly profit.


As we know, most of the financing firms use some limits regarding DD (DrawDown) and Profit.


The most common figures in the market are these:

- maximum daily DD = 5%

- Profit Target Challenge = 8%


Let's take an example of a usual account of $10,000

- We have a DD Limit of $500

- We have a Target Profit of $800


In order to fit within the daily limit of DD, we must take into account how much we risk in both transactions so as not to exceed this limit!

In order not to exceed this limit, we must use a risk/transaction of 0.6% which in our account is $60

So, using $60 (0.6%), we will fall within the 5% limit in case both orders hit the SL, because:

- 0.6% SL of the first order

    +

- 4.2% (0.6% x 7 (we know this is the risk of the cover order))

    = 

- 4.8% Daily Maximum Risk ($480)


So as we can see by doing this even if we hit both SLs on the same day we would not exceed the daily limit and thus protect the account!


Let's see how much we earn monthly using this risk per transaction:

- On average, we have 22 trading days per month, and we know that we have a RR of 1/0.5 (this is where taxes are deducted, but they are a little significant)


So in our case, RR (Risk/Reward) is of $60/$30


- 22 x $30 = $660/month / pairs


We see that in our example we need about 27 days to pass the challenge, and as we know most financing companies no longer have the time limit for passing the challenge. After passing it we ensure a monthly profit of approximately $660


This is just a simple example of how we can gain access to larger funded funds so that the return on the strategy is higher!

Good money management will always be in our favor! 💼📈💰



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Ksm: Умное Решение для Автоматизированной Торговли на Форексе Ksm – это инструмент для автоматизации торговли на Форексе, который применяет современные методы анализа временных данных для работы с множеством валютных пар и различных временных интервалов. Основные Возможности и Преимущества Мультивалютная поддержка : Ksm позволяет работать с множеством валютных пар, что помогает трейдерам адаптировать стратегии к разным рыночным условиям. Новые валютные пары можно легко добавить. Анализ временных
MM Pending by iBots Smart Trade : The Ultimate Semi-Auto Trading Assistant Ever missed a perfect trade setup because you weren't fast enough ? Or miscalculated your lot size and risk distance ? iBots Smart Trade   is here to eliminate those problems! This powerful semi-automated EA is meticulously designed to adapt to your fast-paced trading style. MM Pending (For Planners & Strategic Entries) Ideal for strategic planners or traders who don't have the time to watch the screen all day. How i
Советник автоматически устанавливает стоп-лоссы и тейк-профиты ко всем вашим ордерам. Уровни стоп-лосса и тейк-профита можно выбрать на вкладке входных параметров. Вы можете указать три символа со значениями SL и TP (на скриншотах ниже вы можете видеть symbol1, symbol2 ...). Советник выполняет проверку. Если появляется новый ордер с symbol1, торговый робот устанавливает SL и TP со значениями stoploss1 и takeprofit1 (в пунктах). Если появляется новый ордер с symbol2 , торговый робот устанавливает
Harvest GOLD USES THE TREND WAVE INDICATOR AND IT CAN IDENTIFY THE BEGINNING AND THE END OF A NEW WAVE TREND MOVEMENT. AS AN OSCILLATOR, THE INDICATOR IDENTIFIES THE OVERBOUGHT AND OVERSOLD ZONES. IT WORKS GREAT TO CATCH THE SHORT TERM PRICE REVERSALS AND USES A MARTINGALE STRATEGY TO CLOSE ALL TRADES IN PROFIT. USE DEFAULT SETTINGS ON H1 OR HIGHER TIME FRAME ON ANY PAIR FOR MORE ACCURATE TRADES WHY THIS EA : Smart entries calculated by 3 great strategies The EA can be run on even a $30000
С этим продуктом покупают
Панель FFx Hidden Manager предназначена для управления ордерами прямо на графике. Особенности: Уровни тейк-профит, стоп-лосс и трейлинг-стоп скрыты Для каждого ордера на графике есть отдельная линия Перетащите необходимую линию, чтобы изменить уровни тейк-профит/стоп-лосс Функция автоматического перетаскивания уровня стоп-лосс в безубыток, когда достигнут йровень тейк-профит 1 Возможность выбора типа тейк-профита/стоп-лосса (в пунктах или по цене) Возможность выбора типа трейлинг-стопа (в пунк
Панель FFx Risk Calculator поможет вам легко рассчитать размер ваших трейдов, стоп-лоссов или риска прямо на графике. Особенности продукта: Параметры для расчета: Risk (риск), Stop Loss (стоп-лосс) или Lot Size (размер лота) Панель показывает, допустимо ли использовать данный размер лота при текущем значении свободной маржи на счете Кнопка для свертывания/развертывания панели Возможность перетащить панель в любое место на графике Применение Выберите параметр для расчета. Расчет будет основан на
FFx Watcher PRO - панель для отображения на одном графике текущего направления стандартных индикаторов (до 15 одновременно) на нескольких таймфреймах (до 9). Панель работает в двух режимах: 1. Режим Watcher: Мульти-индикаторный Пользователь может выбрать до 15 индикаторов для отображения Пользователь может выбрать до 9 таймфреймов для отображения 2. Watcher mode: Мультивалютный Пользователь может выбрать любое количество символов Пользователь может выбрать до 9 таймфреймов для отображения В это
Советник Stacker: Автоматически устанавливает стоп-лосс для нового ордера Автоматически устанавливает тейк-профит для нового ордера Устанавливает группы (то есть открывает до 4 дополнительных) ордеров при открытии нового ордера, SL/TP можно задать отдельно для каждого ордера. Предоставляет прозрачную замену стандартных кнопок "торговли в 1 клик" в MetaTrader 4 (эти кнопки по-прежнему работают, SL/TP также будут устанавливаться автоматически, как и дополнительные ордера). Автоматически рассчитыва
Crypto Market Pro
Daniil Kurmyshev
5 (1)
Новые возможности для анализа криптовалют в привычном МetaТrader 4. Например: Выбираем символ криптовалюты и прикрепляем любые индикаторы, советники или скрипты (ниже представлена подробная инструкция). Режим запуска Просмотр криптовалют; Сбор данных. Возможности Работайте как со стандартным графиком; Автоматическое обновление открытых графиков; Выбор отдельных криптовалют для обновления; Выбор отдельных таймфреймов для обновления; Работайте на желаемом таймфрейме; Открытые графики никак не вл
Fibonacci Expansion and Retracement Analysis Fibonacci retracing and extended line tools for the MT4 platform, ideal for traders who use the DiNapoli point trading method and the Golden Section trading The main function: 1. You can draw multiple sets of Fibonacci retracements directly, and the relationship between important return points is clear at a glance. 2. Can draw Fibonacci extensions 3. The Fibonacci foldback and extension of the line can be moved left and right for easy observation
Советник риск-менеджер с огромным арсеналом возможностей защиты вашего депозита. Для инвесторов, которые решили передать капитал в доверительное управление. Когда у трейдера нет доступа к настройкам - нивелирует торговые риски. А также для трейдеров, которые осознали необходимость стороннего контроля за их торговлей для улучшения торговых результатов.  Для максимальных результатов - должен стоять на отдельном VPS сервере и у трейдера не должно быть возможности менять настройки в торговый период.
Grid Hero War Pad
Chock Hwee Ng
3.4 (5)
Grid Hero War Pad is a  GRAPHICAL MANUAL TRADER version of the original Grid Hero EA, designed and created for ADVANCED TRADERS who are experienced in plotting their own market entries. It is coded using ADVANCED GRAPHICAL INTERFACE programming, that combines the power of discretionary trading with Grid Hero algorithm in the form of a graphical console with button-click easy execution. It allows you to execute trades manually using Market Orders and Pending Orders, and then automatically uses th
MirrorEA
Eugenio Bravetti
The new version of  MirrorSoftware 2021  has been completely rewriten and optimized.  This version requires to be loaded only on a single chart because  it can detect all actions on every symbol and not only the actions of symbol where it is loaded. Even the  graphics and the configuration mode  have been completely redesigned. The MirrorSoftware is composed of two components (all components are required to work):  MirrorController  (free indicator): This component must be loaded into the MASTER
Скрипт открывает графики по всем инструментам находящимся в окне "Обзор рынка" и по желанию может задать для всех графиков один шаблон. Так-же можно удалить все графике открытые в терминале Мт4. В скрипте имеются следующие настройки: "Таймфрейм" по умолчанию M30;             (Можно поставить свой: M1, M5, M15, M30, H1, H4, D1, W1, MN.) "Задержка" по умолчанию "0";                  (Задержка перед открытием следующего графика в миллисекундах.) "Шаблон" по умолчанию "True";                (True=пр
Эта утилита автоматически чертит трендовый канал на графике цены. Для интервала времени от указанной даты и до текущего бара начерченный канал является почти оптимальным. Помещая начало канала у более отдаленного исторического экстремума цены, вы получаете визуализацию более долгосрочного тренда. Наклон канала не является непрерывной величиной, а принимает одно из дискретных значений (в формате AxB, где A - это количество пунктов цены (поинтов), а B - количество таймфреймов). Эта программа работ
NewsReady is a semi-automated Expert Advisor that uses a smart straddle methods It needs to be set in charts 2 to 10 minutes before Economic Data release with a red-flag impact on currencies related to the news. Then it run pending orders in specified number of minutes indicated in the time-period parameter. After the specified time, it will stop trading and will remove all pending orders. Important You can not backtest this tool because it is semi-automated and can only be set and run a few min
Advanced Smart Renko and Heiken Ashi Candle Trader is ONE STOP SOLUTION based semi/fully - automated multi-currency EA carefully engineered for traders to enter the trade based on their Analysis or in fully automated mode for scalping, trend trading, candle breakout trades and also automated news trading with inbuilt trade management solution.    Advantages    No grid / Martingale Works on Classic Renko, Renko Heiken Ashi charts and classic Heiken Ashi charts    Features Multi-Currency Ma
Эксперт для бинарных опционов на mt4, со встроенными двумя индикаторами и множеством настроек. Эксперт имеет одну ступень мартингейла, но рекомендуеться им пользоваться на инструментах с доходностью от 85 процентов. им можно одновременно пользоваться на множестве валютных инструментах. Все настройки уже произведены но можно также самим их настроить на свой страх и риск. Валюта для торгов российский рубль. Удачной торговли всем.
This program is created by algorithm which economy based logic in the trading market. 1. The program able to work with all of currency and trading items  2. Take profit and loss are basically handled by EA program Recommendation: EUR_USD is the most preferred. Please use this program only for MT4. LOT should be managed depends on own deposit. Otherwise, high risk will be driven(e.g 0.1~0.2 lot is recommended when the deposit is 10,000 dollar)
1. Фиксирую данные о ценах на каждую транзакцию. Контент файла данных: "время Tick", "цена ASK", "цена BID", "цена SPREAD", "количество предложений Tick". 2. В то же время, создается файл с цитируемыми данными на Один минутный цикл. Содержимое файла данных: "ASK time", "ASK OPEN цен", "ASK HIGH цен", "ASK CLOSE", "ASK CLOSE", "ASK CLOSE", "ASK CLOSE", "ASK CLOSE", "ASK CLOSE", "BID lose цен", "BID lose цен", "BID lose цен", "BID lose цен", "BID CLOSE цен", "BID CLOSE цен", "BID CLOSE цен", "BID
Утилита-риск-менеджер для защиты вашего депозита от полной потери денег. Если вы инвестор и решили передать деньги в доверительное управление, вам нужен Trade Control. Так трейдер не нарушит свои же правила риск-менеджмента и не сольет все ваши деньги. Для этого Trade Control должен находится на вашем VPS. И у управляющего трейдера не должно быть доступа к настройкам данной улититы. В момент слабости, трейдер не сможет увеличить заложенные в торговлю риски. И не потеряет ваш депозит за один неуд
L   H E D G E R   S C A L P E R    A fully automated Expert Advisor that uses counter-trend scalping, managed semi-martingale strategy and lock hedging to execute a complete trading scheme from entry analysis to risk-calculated money management to exit analysis plan execution.         V E R Y  I M P O R T A N T    You can use only ECN type of account. Otherwise, it's a disaster. You can use only the GBPJPY currency pair. Open and attach with 1 chart only. Use a minimum of $5
P Y R A M I D   E X P E R T    This Forex utility is a complex exit strategy and order management tool that executes four trading methods; scalping, pyramid style, hedging, and scaling method to close trades with a profit.           V E R Y  I M P O R T A N T     This is not a stand alone expert advisor. Use it with your own volatility-based strategy. Once you found the currency pair to trade, you can just attach this tool to the chart of the chosen pair and it will do the
Tool sends trades when open and close with chart to telegram channel.  Tool can send multiple charts and magic numbers and pairs from a single chart. Send information of all type of orders: Opened (including Pending Orders), closed tiggered, and modified orders. Telegram Setup instruction Open your Telegram APP and search for "BotFather". Type  /start  and click/type  /newbot  to create a new bot. Give your bot a nickname and username (e.g., nickname: Bestnavisignal and username: Bestnavisignal
The EA Protection Filter ( MT5 version here ) provides a news filter as well as a stock market crash filter, which can be used in combination with other EAs. Therefore, it serves as an additional protective layer for other EAs that do provide such filters.  During backtest analysis of my own night scalpers, which already use a stock market crash filter, I noticed that the historic drawdown,  especially during stock market crash phases like 2007-2008, was reduced significantly by using such a fil
FiboPlusWaves
Sergey Malysh
5 (1)
Серия продуктов под маркой  FiboPlusWave Готовая торговая система на основе  волн Эллиотта и уровней Фибоначчи . Просто и доступно. Отображение разметки волн Эллиотта (основной или альтернативный вариант) на графике. Построение горизонтальных уровней, линий поддержек и сопротивления, канала. Наложение уровней Фибоначчи на волны 1, 3, 5, A Система алертов (на экран, E-Mail, Push уведомления).    Особенности: не вникая в волновую теорию Эллиотта, можно сразу открыть один из возможных вариантов вхо
Pro Indicator Trader - это продвинутый торговый инструмент, позволяющий разработать свою собственную торговую стратегию с нуля, используя комбинацию из 31 индикатора. Элегантный и интуитивно понятный интерфейс позволяет до мельчайших деталей настроить свою стратегию и выбрать, когда советник должен открывать позицию покупки или позицию продажи. Одновременно может быть использовано 14 индикаторов для условий входа и отдельно 14 индикаторов для условий выхода (как разных, так и одних тех же, тольк
Monitor floating profit of trades and close half of the lot size when profit reach target. Can monitor either all trades in whole account or by specified magic number. Can set amount of slippage and spread tolerance. Can set retry times and sleep seconds if split order was rejected Can set max split order times. Able to close trades after split when floating profit goes down and near 0, to prevent lose.
A   rocket   (from   Italian :   rocchetto ,   lit. 'bobbin/spool') [nb 1] [1]   is a   projectile   that   spacecraft ,   aircraft   or other   vehicles   use to obtain   thrust   from a   rocket engine . Rocket engine exhaust is formed entirely from   propellant   carried within the rocket. [2]   Rocket engines work by   action and reaction   and push rockets forward simply by expelling their exhaust in the opposite direction at high speed, and can therefore work in the   vacuum   of space. In
Программа работает на сочетании двух индикаторов.   Set _ Lot = 0.01 – значение объема лота Set _ TP = 100 – значение тейкпрофит в пунктах Set _ SL = 100 – значение стоплосс в пунктах Up _ Limit _ CCI = 100 – верхний предел CCI Down _ Limit _ CCI = -100 – нижний предел CCI Delta _ CCI = 25 – отклонение CCI от первой свечи Set _ Time _ Frame _ CCI = 15 – значение таймфрейма для расчета CCI Set _ Period _ CCI = 14 – значение периода для расчета CCI Set _ Price _ CCI = 0 – тип цены, по которому вед
The utility allows you to open, monitor and manage open positions on the forex market and only on instruments in which it is possible to create triangulations or those instruments that share the same currency in the numerator or denominator: ex: EURSUSD --- GBPUSD --- EURGBP The help of operational lines and valuable information on the panel allow the trader to manage trades more easily. Recommended for novice and experienced traders. External variables CrossSymbol = choose the cross on which
PLEASE NOTE:   The "AUTO" function of the EA has NOT yet been activated . It's still ongoing testing. Once it becomes available, clients will get a free upgrade to EA 2.0                        Also .... PLEASE follow the instructions below in order for the functions to work properly. Introduction: The Phoenix Project (EA) Our Expert Advisor is both refined and practical. It is geared towards helping the traders be constantly aware of their risk PER trade while it helps them manage that risk.
Welcome guys !  I offer to you this MT4 project I've been working on for the last 2 years ( roughly over 900h of work.. ).  This is a complete tool that will change the way you see MT4, because I almost recoded it entirely ! It will provides you a solid base for risk management, order positionning, hedging, account preservation and journaling. I wanted an all-in-one panel that covers both scalping and swing trading and that suits every type of trader.       Main goal was : NO INPUTS. Never
This EA is been tested on difference Prop firm including FTMO, MFF, TFF, Funding Next and E8.  The main focus of this EA is to provide you Risk Management, Trade Management.  It can calculate lot size for you in any market to make sure fix % risk per trade.  It has a partially close and brake even line you can place on the screen.  When the line is hit, EA will partially close the position can move the SL to entry to provide you a guarantee profit. One EA can trade all symbol.  Is a Prop Firm tr
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Heaven Assistant: Упрощение управления MT4 Упростите управление платформой MetaTrader 4 (MT4) с помощью Heaven Assistant . Этот советник (EA) является надежным инструментом, позволяющим контролировать и настраивать ваше торговое окружение эффективно и удобно. Основные характеристики: Открытие нескольких пар: Быстрый доступ к большинству валютных пар, как основных, так и второстепенных, плюс экзотические пары. Возможность открытия индексов, металлов и криптовалют одним кликом. Изменение шаблона:
Title: EA Automater 5 Indicators for Averaging - A Diversified Approach to Algorithmic Trading Description: The EA Automater 5 Indicators for Averaging is a revolutionary Expert Advisor for MetaTrader 4, meticulously designed to provide traders with a diversified and balanced approach to automated trading. With its distinct ability to integrate and average signals from up to five different indicators, this EA stands as an unrivaled force in the realm of algorithmic trading. Main Features: Multi-
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