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Bu koda dayalı bir robota veya göstergeye mi ihtiyacınız var? Freelance üzerinden sipariş edin Freelance'e git

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Left-Side Multi-Timeframe & Trade Setup Panel:
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Header: Live Symbol and real-time Bid Price in the same top row.
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Multi-TF Structure Section (M1, M5, M15, M30, H1): Displays each timeframe's current structure status (BOS / Choch / Swing Formed) with exact breakout prices.
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Current Setup Details Section: Formatted vertically line-by-line (not crowded into a single line):
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Setup Status (Active or Completed)
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Direction (BUY or SELL)
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Entry Price
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Stop Loss Price with pip risk
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TP1 Price with 1:1 pip reward
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TP2 Price with 1:2 pip reward
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TP3 Price with 1:3 pip reward
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Net Pips Captured
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Adaptive_MACD
Adaptive MACD is a dynamic momentum indicator that adjusts its smoothing based on market conditions. It calculates a Pearson correlation coefficient between price and bar index over a user-defined period, then uses the resulting R² to blend two different MACD coefficient sets. This makes the MACD line more responsive during strong trends and smoother in sideways markets. The indicator plots a color-coded histogram (strong/weak bullish/bearish) and an optional auto-contrast MACD line that adapts to the chart background. Inputs allow customization of the R² period, fast/slow lengths, signal period, and colors. Suitable for trend-following and detecting momentum shifts.
AMA_EntrySignal_Projekt_EN
AMA_EntrySignal_Projekt_EN - Indicator WHAT IT IS An adapted/English edition of the AMA_EntrySignal_V2.mq5 indicator The indicator produces BUY/SELL entry signals, exit signals and a momentum-fade exit arrow, and shows an on-chart info panel with market state and trading statistics.
Broker Execution Diagnostics
A read only MT5 script that reports broker symbol specifications, volume limits, price settings, execution modes, trading permissions, margin requirements and estimated profit values.
Risk Based Position Size Calculator
A draggable MT5 risk calculator that converts the selected entry and stop distance into a broker normalized position size using tick size, tick value and account risk.