İş tamamlandı

Tamamlanma süresi: 13 saat
Geliştirici tarafından geri bildirim
customer gives details about the ea that he want good to work with
Müşteri tarafından geri bildirim
The developer understood the mission and executed. Has a deeper understanding of trading and applies it to the customer's advantage. Provided clear explanations and support.

Şartname

Summary:

Develop an MT5 autotrader that:

  • Trades using a “Buy Low, Sell High” strategy based on mean reversion.
  • Uses the 21-day Bollinger Bands (with the 21-day SMA as the centerline) to identify overbought/oversold conditions.
  • Executes trades at a fixed size of 0.01 units per trade.
  • Sets stop-loss levels using the ATR (21) to adapt to market volatility.
  • Incorporates risk management, trade confirmation, and performance logging to ensure disciplined execution.

Strategy Overview:

  • Core Strategy:
    The system implements a “Buy Low, Sell High” approach using mean reversion principles. The algorithm will seek to identify when the price is near its lower or upper bounds relative to historical averages and then enter trades accordingly.

  • Timeframe & Indicators:

    • Bollinger Bands:
      • Period: 21 days
      • The 21-day Simple Moving Average (SMA) forms the centerline.
      • Upper and lower bands are calculated based on standard deviation (a standard multiplier, e.g., 2, can be used unless specified otherwise).
      • Use the position of the price relative to these bands to gauge potential reversal zones.
    • ATR (21):
      • Period: 21 days
      • This indicator will be used to dynamically determine the stop-loss distance based on current market volatility.

Entry Criteria:

  1. Buy Signal (Long Entry):
    • Condition: Price is trading at or near the lower Bollinger Band, indicating potential oversold conditions relative to the 21-day average.
    • Additional Confirmation:
      • Look for a divergence in momentum (if available) or a clear signal of price reversal.
      • Price should have historically demonstrated a rebound when near this band.
  2. Sell Signal (Short Entry):
    • Condition: Price is trading at or near the upper Bollinger Band, indicating potential overbought conditions relative to the 21-day average.
    • Additional Confirmation:
      • Similar to the long side, include confirmation from price action that a reversal or pullback is likely.

Order Execution & Position Sizing:

  • Unit Size:
    • All trades will be executed with a fixed size of 0.01 units per trade.
  • Trade Frequency:
    • The system should limit the number of simultaneous open positions to reduce exposure and adhere to the “quality over quantity” principle.
  • Scaling and Re-entries:
    • If the trade conditions reoccur and confirmation is maintained, the system may consider additional entries (still at 0.01 units each) but should remain conservative to avoid overtrading.

Stop-Loss Calculation:

  • ATR (21) Based Stop-Loss:
    • For each trade, calculate the current ATR (with a period of 21 days).
    • Use a multiplier (e.g., 1x or 1.5x ATR) as a risk-adjusted stop-loss distance from the entry price.
    • The stop-loss will be placed:
      • For a long trade: below the entry price by the computed ATR value.
      • For a short trade: above the entry price by the computed ATR value.
    • The exact multiplier can be adjusted during optimization to suit the volatility profile of the instrument.

Trade Management & Exit Criteria:

  • Take-Profit & Trailing Stops:
    • Define a take-profit mechanism based on a favorable risk-reward ratio (preferably 1:1 or higher).
    • Consider implementing a trailing stop feature (also ATR-based) that adjusts as the trade moves favorably.
  • Manual Override / Safety Checks:
    • Include logic to prevent entries during extremely low or high volatility periods if it deviates from historical behavior.
    • Incorporate filters (e.g., market news or high-impact events) to temporarily halt trading.

Other Considerations:

  • Backtesting and Optimization:

    • The autotrader should include parameters for the ATR multiplier and Bollinger Bands deviation multiplier to be optimized based on historical data.
    • Ensure that the strategy is tested on multiple instruments to confirm its robustness.
  • Logging and Reporting:

    • The system must log each trade, including entry conditions, stop-loss levels (based on ATR), take-profit levels, and exit reasons.
    • Regular performance reports (e.g., daily/weekly summaries) should be generated for ongoing evaluation and refinement.




Yanıtlandı

1
Geliştirici 1
Derecelendirme
(274)
Projeler
403
28%
Arabuluculuk
40
40% / 50%
Süresi dolmuş
1
0%
Serbest
2
Geliştirici 2
Derecelendirme
(47)
Projeler
67
37%
Arabuluculuk
5
40% / 40%
Süresi dolmuş
1
1%
Serbest
3
Geliştirici 3
Derecelendirme
(33)
Projeler
35
20%
Arabuluculuk
5
40% / 40%
Süresi dolmuş
0
Serbest
Yayınlandı: 1 kod
4
Geliştirici 4
Derecelendirme
(21)
Projeler
28
36%
Arabuluculuk
7
14% / 71%
Süresi dolmuş
2
7%
Serbest
5
Geliştirici 5
Derecelendirme
(152)
Projeler
228
80%
Arabuluculuk
22
27% / 50%
Süresi dolmuş
11
5%
Serbest
Yayınlandı: 24 makale, 1882 kod
6
Geliştirici 6
Derecelendirme
(329)
Projeler
515
19%
Arabuluculuk
35
46% / 31%
Süresi dolmuş
34
7%
Çalışıyor
7
Geliştirici 7
Derecelendirme
(16)
Projeler
35
23%
Arabuluculuk
4
0% / 50%
Süresi dolmuş
2
6%
Çalışıyor
Benzer siparişler
Should be as it but no alarms, also we need to add a deep search so he can see all the preves candles and a memory function so its not slowing down the indicator. for higher time frames daily 4h 1h around 365 days and for lower time frames we do up to 20k bars but both flexible so i can change it later. the memory is important so the indicator is not always recalculating everything when a new candle shows especially
Creating a bot using the Parabolic indicator with a simple interface.. I want a bot that uses the Parabolic SAR indicator only, with these orders attached to it. Boot name : HEMIN .FX Magic number : 000000 …………………………………………………. Trade behavior : regular OR inverse OR only long "buy" OR only short "sell" Timeframe : ………… Period: ……… ………………………………………………….. Lot size : ……………… Break even in points : …
Project: Fix & Schedule My Dual Fibo Standard Fibonacci Bot I have an existing MQ4 expert advisor called "Dual Fibo Standard Fibonacci". It needs to process 1,000 clients. Right now it runs blindly with no schedule and takes way too long. I need you to optimize it so it runs like a professional business with a 50-100 batch printed stamp copy progress log. Please reply with your numbers for this simple layout: * Phase
Hi, I need an experienced NinjaTrader 8/NinjaScript developer to finish or rebuild an automated futures strategy, ideally by the end of this week. I already have the complete TradingView Pine Script reference strategy, an existing ~2,000-line NinjaScript implementation, Playback logs, and known historical benchmark trades. MOST IMPORTANT REQUIREMENT: TRADINGVIEW ↔ NINJATRADER PARITY. The Pine Script is the reference
I need a custom MQL5 indicator for MetaTrader 5. The indicator must automatically print entry, stop loss, and take profit zones on the chart using dots. A critical requirement is that these dots must be non-lagging and absolutely non-repainting. Additionally, the indicator needs to identify and display current supply and demand zones. Please provide the mq5 source code and the ex5 file upon completion
PHANTOM PROTOCOL V1 35 - 150 USD
PHANTOM PROTOCOL V1 – MT5 EXPERT ADVISOR SPECIFICATION Develop a professional MetaTrader 5 (MT5) Expert Advisor named “PHANTOM PROTOCOL V1”. PRIMARY MARKET: - XAUUSD (Gold) - Designed primarily for M15 and H1 timeframes. - The EA must work with both 3-digit and 2-digit gold pricing where applicable. TRADING LOGIC: Use pure price-action and market-structure analysis rather than relying on a single indicator. The EA
Wanna Create A Trading Robot That Uses Liquidity Sweep And Smart Money Concept EA That Works On PC. I want A Developer Who Can Program Exactly My Strategy That Will Be Shared on A Video Upon The Selection. it Should Follow My Rules .It has To be able To Read Price Action, followed By Liquidity Sweep Areas And Combine with Smart Money Concept Knowledge. We Will Talk about Parameters later on . The robot should be able
I need an experienced trading-data specialist who can help me obtain 3–4 years of historical market data compatible with NinjaTrader 8 . The data will be used for trading strategy development, backtesting, and analysis
Need aggressive M1 gold scalper rewrite of Dev3 + 8 strategies. INPUTS: RiskPercent=3, TP=400, SL=300, MaxTrades=6, Mode=BOTH, DailyProfit 15%, DailyLoss -10% LOT = Balance * RiskPercent / 1000 - works for Cent R350 and $1000. 8 STRATEGIES any true = open instantly, check 1 sec: 1 EMA8/21 cross 2 RSI14 30/70 + engulf 3 Engulfing candle 4 BB 20,2 breakout 5 FVG grab M1 6 M5 trend + M1 entry 7 Wick rejection >2 8
I need an experienced MQL5 developer to build a prototype MT5 Expert Advisor called RiskLock. The software should enforce user-defined trading risk rules before trades are executed. It should support risk percentage or fixed monetary risk, calculate position size using account equity, entry price, stop loss, tick value and contract specifications, block or reduce oversized trades, and include daily loss limits

Proje bilgisi

Bütçe
123+ USD
Son teslim tarihi
to 25 gün