TheXpert / Лента новостей
Самый простой способ купить немного теслы или гугла (без кухонных CFD и заморочек у забугорных брокеров) или евры, или биткоинов
https://exchange.currency.com/trading/signup?c=ifrr2ra4&pid=referral
Инструменты для работы с данными от OANDA
http://www.trend-lab.ru/2016/08/oandax-full-review.html
Фьючерсные объемы для Metatrader 5
http://www.trend-lab.ru/2013/07/clusterx-for-mql5.html
Годный стакан для основных криптобирж для МТ4
http://www.trend-lab.ru/2014/11/marketdepth-mt4-exchanges-support.html
Link to the product:
Get MT4 Version
👉 https://www.mql5.com/en/market/product/43299
Get MT5 Version
👉 https://www.mql5.com/en/market/product/28260
Manual: https://www.mql5.com/en/blogs/post/731214
https://www.mql5.com/en/market/product/175777
https://www.mql5.com/en/blogs/post/770034
The well-known Parabolic SAR indicator is used to identify signals
📌Can be used on any instrument and timeframe
📌Configurable built-in indicator parameters
📌Easy setup and intuitive panel interface
📌The ability to open only one order per candle
📌Built-in automatic lot calculation
📌Built-in system for closing the first and last basket orders
📌Three types of notifications: push, email, alert
Get MT4 Version
👉 https://www.mql5.com/en/market/product/69492
Get MT5 Version
👉 https://www.mql5.com/en/market/product/69493
https://www.mql5.com/en/market/product/175777
https://www.mql5.com/en/blogs/post/770034
Core Idea Most automated systems hide complexity behind marketing. Key Factor does the opposite. Every decision the EA makes traces back to a specific user-defined value. The signal window, the sensitivity threshold, the correction factor — each one is exposed, adjustable, and directly impacts behavior in a predictable way. Entry Conditions Entries are governed by a three-parameter signal block. The depth of the analysis window controls how much historical context is considered. The deviation
The EA evaluates price action using a defined historical window combined with a statistical threshold and a degree-of-correction parameter. This three-component configuration controls how the system identifies tradeable conditions — the window sets the scope of analysis, the threshold determines sensitivity, and the correction factor filters marginal signals before execution. The result is a compact, transparent decision mechanism with no hidden layers or adaptive self-modification. Trade
🔹_ An advanced advisor opens bi-directional lockable orders _🔹
The EA opens two bidirectional orders. When one of them is closed in profit, two orders are reopened, the volume of orders increases depending on the volume of multiplication and the number of orders opened by the advisor. In each new open pair, orders are opened with equal volume, locking each other. The opening of pairs continues until the number of orders of the same type reaches the number of Limit_for_orders, then the EA will only increase the grid, excluding locking.
Link to the product:
Get MT4 Version
👉 https://www.mql5.com/en/market/product/42356
Get MT5 Version
👉 https://www.mql5.com/en/market/product/44212
A trading strategy is a formalized set of rules and algorithms that determines every action of a trader in the market: from searching for a signal to closing a position and managing capital. In a professional environment, a strategy transforms chaotic price movements into a reproducible process with measurable statistical advantages. It is not merely “I buy when one line crosses another,” but a complete mechanical or semi-mechanical system that excludes subjective guesswork.
The strategy is needed to remove emotions from decision-making and to obtain an objective tool for assessing the market situation. Without it, trading turns into an intuitive game where fear and greed inevitably lead to losing the deposit. A clearly defined strategy allows you to test ideas on history, determine trade frequency, average profit, maximum drawdown, and optimal risk per trade. This is how a statistical edge is formed, without which consistent earnings are impossible.
To apply this in practice, develop your own system: choose a market and timeframe, set entry conditions (for example, based on the interaction of moving averages and support/resistance levels), define stop-loss and take-profit according to volatility, limit the risk of a single position to 1–2% of the account. Then backtest the strategy on historical data, optimize it, conduct a forward test on a demo account, and only after confirming its stability implement it with real funds.
Subscribe to my profile (Add to friends) https://www.mql5.com/en/users/voldemar
Telegram: https://t.me/tgforexen
Что такое технический анализ?
Технический анализ — это комплекс методов и инструментов оценки стоимости финансовых активов на основе изучения исторических данных о ценах и объёмах торгов. В отличие от фундаментального анализа, который оценивает внутреннюю стоимость актива через макроэкономические показатели или корпоративные отчеты, ТА фокусируется исключительно на динамике самого графика. Основная теоретическая база метода опирается на трёх краеугольных камнях: 1) Все доступные данные уже учтены в текущей цене; 2) Цена имеет склонность следовать трендам (Trend Following); и 3) Исторические паттерны повторяются.
Этот метод критически необходим для современного трейдера, поскольку он позволяет перейти от интуитивных догадок к строго математически обоснованным решениям. Знание техник технического анализа помогает не просто прогнозировать движение цены (что невозможно), а, скорее, определить вероятные зоны поддержки и сопротивления, а также оптимальные точки входа (Entry) и выхода (Exit). Это прямо влияет на управление капиталом и расчет ключевого показателя — соотношения риска к прибыли (Risk:Reward Ratio).
В практике технический анализ требует многоступенчатого подхода. Прежде всего, необходимо определить текущий доминирующий таймфрейм (D1/H4) для установления глобального тренда, а затем использовать более мелкие интервалы (M15/M5) для поиска точных точек входа с минимальным шумом. В качестве инструментов используются не только индикаторы (MACD, RSI), но и, что гораздо важнее, классический Price Action — анализ структуры рынка, паттернов свечей и геометрических фигур (голова плечи, треугольники). Помните о принципе многотаймфреймового анализа: сигнал на 5-минутном графике должен подтверждаться общей структурой более крупного графика. Всегда используйте стоп-лоссы, рассчитанные не произвольно, а на основе измеримой волатильности (например, Average True Range, ATR).
Подписывайся на мой профиль (Добавить в друзья) https://www.mql5.com/ru/users/voldemar
Телеграм: https://t.me/tgforexru
https://www.mql5.com/en/market/product/175777
https://www.mql5.com/en/blogs/post/770034
📌Closing orders for the current symbol or all symbols
📌The ability to close one or several unprofitable orders at a time
📌Selection of magic numbers and tickets for the closing
📌Selection of profitable and unprofitable orders in money, points, or percentage
📌Closing only BUY or SELL orders or closing all orders
📌Selecting the number of profitable orders in the basket to cover the loss
Get MT4 Version
👉 https://www.mql5.com/en/market/product/28258
Get MT5 Version
👉 https://www.mql5.com/en/market/product/62083
A trading strategy is a formalized set of rules and algorithms that determines every action of a trader in the market: from searching for a signal to closing a position and managing capital. In a professional environment, a strategy transforms chaotic price movements into a reproducible process with measurable statistical advantages. It is not merely “I buy when one line crosses another,” but a complete mechanical or semi-mechanical system that excludes subjective guesswork.
The strategy is needed to remove emotions from decision-making and to obtain an objective tool for assessing the market situation. Without it, trading turns into an intuitive game where fear and greed inevitably lead to losing the deposit. A clearly defined strategy allows you to test ideas on history, determine trade frequency, average profit, maximum drawdown, and optimal risk per trade. This is how a statistical edge is formed, without which consistent earnings are impossible.
To apply this in practice, develop your own system: choose a market and timeframe, set entry conditions (for example, based on the interaction of moving averages and support/resistance levels), define stop-loss and take-profit according to volatility, limit the risk of a single position to 1–2% of the account. Then backtest the strategy on historical data, optimize it, conduct a forward test on a demo account, and only after confirming its stability implement it with real funds.
Subscribe to my profile (Add to friends) https://www.mql5.com/en/users/voldemar
Telegram: https://t.me/tgforexen
Что такое торговая стратегия?
Торговая стратегия — это формализованный набор правил и алгоритмов, определяющий все действия трейдера на рынке: от момента поиска сигнала до закрытия позиции и управления капиталом. В профессиональной среде стратегия превращает хаотичное движение цен в воспроизводимый процесс с измеримыми статистическими преимуществами. Это не просто «я покупаю, когда линия пересекает другую», а полная механическая или полумеханическая система, исключающая субъективные домыслы.
Стратегия нужна, чтобы убрать эмоции из принятия решений и получить объективный инструмент оценки рыночной ситуации. Без неё трейдинг превращается в интуитивную игру, где страх и жадность гарантированно ведут к сливу депозита. Чётко прописанная стратегия даёт возможность тестировать идеи на истории, определять частоту сделок, среднюю прибыль, максимальную просадку и оптимальный риск на сделку. Именно так формируется статистическое преимущество, без которого стабильный заработок невозможен.
Применить это на практике можно через разработку собственной системы: выберите рынок и таймфрейм, задайте условия входа (например, на основе взаимодействия скользящих средних и уровней поддержки/сопротивления), определите стоп-лосс и тейк-профит исходя из волатильности, ограничьте риск одной позиции долей в 1–2% от счёта. Затем протестируйте стратегию на исторических данных, оптимизируйте, проведите вперёд-тест на демо-счёте и только после подтверждения стабильности внедряйте на реальные средства.
Подписывайся на мой профиль (Добавить в друзья) https://www.mql5.com/ru/users/voldemar
Телеграм: https://t.me/tgforexru
🔹 An Expert Advisor that trades at the intersection of two moving averages uses the third moving average to filter the current trend direction. 🔹
✅Benefits:
Intuitive easy setup
Suitable for any type of instrument and any timeframe
Has three types of notifications
Pluggable system of overlapping the first order by the last
Ability to automatically calculate trading volumes
✅Expert Advisor strategy.
The EA uses three moving averages to open positions. The main ones are two moving ones, fast and slow. The third is a slide to filter out market noise.
If the fast-moving one crosses the slow one from the bottom up, then this is a buy signal.
If the fast-moving one crosses the slow one from top to bottom, then this is a sell signal.
When using the third sliding:
When the fast and slow moving averages are below the filtered moving average (downward trend), only sell signals work.
When the filtering moving average is lower (uptrend) than the fast and slow ones, only buy signals work.
The fastest period is the smallest, the slowest period is longer, and the filter sliding period is the largest.
If filtering is disabled then:
At each intersection of the fast and slow moving averages, the EA will open trades
It should be noted that new order is opened only after the previous one is closed. In this Expert Advisor, there is only one open position in the market at a time.
Get MT4 Version
👉 https://www.mql5.com/en/market/product/63484
Get MT5 Version
👉 https://www.mql5.com/en/market/product/64339
https://www.mql5.com/en/market/product/175777
https://www.mql5.com/en/blogs/post/770034
❗The AW Double Grids Expert Advisor is an aggressive, fully automated grid-based Expert Advisor with an informational trading panel and easy setup. The strategy consists in simultaneous two-sided work, multiplying the volume of one direction. Built-in automatic calculation of the lot, as well as a variation of the multiplication of orders.
❗How the advisor trades: The EA starts trading by opening two opposite orders. After closing a profitable order, the EA opens two orders again, multiplying the volume for the open direction. If there are open orders, the EA changes TakeProfit in points. TakeProfit is dynamic and is adjusted depending on the number of open orders in the opposite direction
Additional opening of grids of orders also has a dynamic step that changes depending on the number of open orders in the current direction
MT4 👉 https://www.mql5.com/en/market/product/48191
MT5 👉 https://www.mql5.com/en/market/product/48884
The AW Candle Patterns indicator is a combination of an advanced trend indicator combined with a powerful candle pattern scanner. It is a useful tool for recognizing and highlighting the thirty most reliable candlestick patterns. In addition, it is a current trend analyzer based on colored bars with a plug-in multi-timeframe trend panel that can be resized and positioned. A unique ability to adjust the display of patterns depending on the trend filtering.
MT5 👉 https://www.mql5.com/en/market/product/83325
MT4👉
https://www.mql5.com/en/market/product/84305
https://www.mql5.com/en/market/product/175777
https://www.mql5.com/en/blogs/post/770034

