Pair Stability Indicator

Ensure your trading strategy's future performance by trading only on stable, reliable pairs. The Pair Stability Indicator analyzes the velocity and volatility of any symbol to determine if it can support consistent strategy execution. It calculates critical metrics like Pips per Second, Dollars per Pip, and Dollars per Second of movement, scoring each pair from 0-100%. By identifying highly stable instruments (e.g., EURUSD) and flagging unstable ones (e.g., XAGAUD), this indicator acts as a crucial pre-trade filter for performance maintenance.

Key Features:
Automated Symbol Scanner: Automatically scans all tradeable symbols from your broker or a user-defined list.
Real-time Stability Scoring: Calculates a comprehensive stability score based on max pips/sec, max $/pip, max $/sec, and volatility percentage.
Performance Match Assessment: Provides a clear yes/no verdict on whether a pair can likely maintain past performance patterns.
Visual Dashboard: Displays a formatted table in the chart window, showing top stable pairs and most unstable pairs with color-coded scores.
Adjustable Thresholds: Tune all analysis parameters (`MaxPipMovementPerSecond`, `MaxDollarPerSecond`, `VolatilityThreshold`) to match your strategy's specific risk tolerance.
On-Chart Alerts: The indicator runs on a timer and provides direct on-chart feedback for the currently selected symbol.

Effective Uses:
Pre-Trade Filter: Run the indicator on any symbol before deploying a new or existing EA to confirm the pair's price action is stable enough for your strategy's logic.
Portfolio Selection: Use the "TOP STABLE PAIRS" list to build a portfolio of instruments that exhibit low, predictable movement, reducing the risk of strategy failure.
Avoiding Problem Assets: Identify and exclude highly volatile symbols (cryptos, some exotics, metals) that can cause erratic drawdowns and violate strategy assumptions.
Performance Consistency: For high-frequency or scalping strategies, use the `$/sec` metric to filter out pairs that move too fast, preventing slippage and ensuring fill quality.
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CVD Diverjans Tespiti - Gelişmiş Hacim Delta Analizi   ÇÖZDÜĞÜMÜZ PROBLEM Çoğu trader sadece fiyat hareketine güvenir ve gerçek piyasa hissiyatını ortaya çıkaran kritik hacim akış bilgilerini kaçırır. Geleneksel göstergeler fiyat hareketlerinin gerisinde kalır, geç girişlere ve kötü risk yönetimine neden olur. CVD Diverjans Tespiti, fiyat ve hacim delta momentumu arasındaki ilişkiyi analiz ederek bunu çözer ve önemli piyasa hareketlerinden önce erken uyarı sinyalleri verir.   CVD DİVERJANS
Binary Booster
Yaroslav Varankin
5 (1)
Binary Options Trading Indicator: A Reliable Tool for Your Trades This indicator is specifically designed for binary options trading and has proven its high quality, reliability, and adequate accuracy, depending on the dynamics of the chart. Key Points: Signal Interpretation: When a blue cross signal appears, it indicates a potential entry into a trade, though it is considered a weak signal on its own. However, if the blue cross is accompanied by an arrow, it is considered a more reliable buy s
Enigmera
Ivan Stefanov
5 (9)
ENIGMERA: Pazarın Kalbi Önemli: MQL5.com demosu Strategy Tester'da çalışır ve Enigmera'nın tüm işlevlerini tam olarak yansıtmayabilir. Daha fazla bilgi için açıklamayı, ekran görüntülerini ve videoyu kontrol edin. Herhangi bir sorunuz varsa, bana mesaj göndermekten çekinmeyin! Göstergenin kodu tamamen yeniden yazılmıştır. 3.0 sürümü, yeni işlevler ekler ve göstergenin başlangıcından bu yana biriken hataları giderir. Giriş Bu gösterge ve ticaret sistemi, finansal piyasalara dikkat çekici bir ya
Owl smart levels
Sergey Ermolov
4.26 (38)
Trend yönünde işlem yaparken asıl zorluk bir seviye bulmak değil, girişin gerçekten nerede geçerli olduğunu anlamaktır. Fiyat genellikle seviyelere tepki verir ancak hareket devam etmez — bu da yanlış girişlere veya kaçırılan fırsatlara yol açar. Owl Smart Levels sadece seviyeleri göstermez , aynı zamanda piyasa yapısı ve geri çekilmelere dayalı bölgeler oluşturur. Bu, giriş noktalarını farklı şekilde değerlendirmenizi sağlar ve bazı hatalı sinyallerden kaçınmanıza yardımcı olur. Owl Smart Leve
MTF Supply Demand Zones
Georgios Kalomoiropoulos
4.82 (22)
Yeni Nesil Otomatik Arz ve Talep Bölgeleri. Her Grafikte Çalışan Yeni ve Yenilikçi Algoritma. Tüm Bölgeler Piyasanın Fiyat Hareketine Göre Dinamik Olarak Oluşturulmaktadır. İKİ TÜR UYARI --> 1) FİYAT BİR BÖLGEYE ÇIKTIĞINDA 2) YENİ BİR BÖLGE OLUŞTURDUĞUNDA Bir tane daha işe yaramaz gösterge almazsın. Kanıtlanmış Sonuçlarla eksiksiz bir Ticaret Stratejisi elde edersiniz.     Yeni özellikler:     Fiyat Arz/Talep Bölgesine ulaştığında uyarılar     Yeni bir Arz/Talep Bölgesi oluşturulduğunda
RelicusRoad Pro
Relicus LLC
4.65 (107)
RelicusRoad Pro: Kantitatif Piyasa İşletim Sistemi ÖMÜR BOYU ERİŞİMDE %70 İNDİRİM (SINIRLI SÜRE) - 2.000+ TRADER'A KATILIN Neden çoğu trader "mükemmel" indikatörlere rağmen başarısız olur? Çünkü tekil kavramları boşlukta trade ederler. Bağlamı olmayan bir sinyal kumardır. Sürekli kazanmak için KONFLÜANS (UYUM) gerekir. RelicusRoad Pro basit bir ok indikatörü değildir. Tam bir Kantitatif Piyasa Ekosistemi dir. Tescilli volatilite modellemesini kullanarak fiyatın ilerlediği "Adil Değer Yolu"nu har
TrendMaestro
Stefano Frisetti
4 (4)
Attention: beware of SCAMS, TRENDMAESTRO is only ditributed throught MQL5.com market place. note: this indicator is for METATRADER4, if you want the version for METATRADER5 this is the link:  https://www.mql5.com/it/market/product/108106 TRENDMAESTRO ver 2.5 TRENDMAESTRO recognizes a new TREND from the start, he never makes mistakes. The certainty of identifying a new TREND is priceless. DESCRIPTION TRENDMAESTRO identifies a new TREND in the bud, this indicator examines the volatility, volumes a
Supply and Demand Dashboard PRO
Bernhard Schweigert
4.81 (21)
Şu anda %30 İNDİRİMLİ! Bu gösterge paneli, birden fazla sembol ve 9 zaman dilimine kadar çalışan çok güçlü bir yazılım parçasıdır. Ana göstergemize dayanmaktadır (En iyi yorumlar: Advanced Supply Demand ).     Gösterge paneli harika bir genel bakış sağlar. Gösterir:    Bölge mukavemet derecesi dahil filtrelenmiş Arz ve Talep değerleri, Bölgelere/ve bölgeler içindeki pip mesafeleri, İç içe geçmiş bölgeleri vurgular, Tüm (9) zaman dilimlerinde seçilen semboller için 4 çeşit uyarı verir. Kişisel
KT Alpha Hunter Arrows MT4
KEENBASE SOFTWARE SOLUTIONS
Çoğu ok göstergesi size yalnızca bir sinyal verir ve geri kalan her şeyi sizin çözmenizi bekler. KT Alpha Hunter Arrows ise size eksiksiz bir işlem planı sunar. Her sinyal oku, grafikte hazır bir planla birlikte görünür: giriş çizgisi, stop loss, dört take profit seviyesi ve bu sembol ile zaman diliminin o anda işlem yapmaya değer olup olmadığını gösteren canlı edge kararı. Pakete dahil olan Trade Manager EA, siz işleme girdikten sonra yönetimi üstlenir. Böylece piyasa hareketli ve duygusal açıd
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An advanced equity protection and trade management script. It monitors individual trade P&L and closes positions when floating equity targets (profit or loss) are met. It features "skip closing hours" for high volatility, wide spreads, or price instability times . Features: Closes trades at a target profit (`MAX_FLOATING_EQUITY`) or maximum loss (`MAX_FLOATING_LOSS`). Includes a `FORCE_CLOSE_AT_MAX_EQUITY` level that bypasses all exit protection checks. "SKIP_CLOSING_HOURS" input to pause loss
FREE
Close Time
Frank William Jr Colbert
A simple, time-based execution utility that closes all open trades at a specific hour and minute each day. It operates continuously, checking every tick for the designated closing time. Features: Inputs for `CloseHour` (0-23) and `CloseMinute` (0-59). Independent controls for closing Buy and Sell orders. Once the current time equals or exceeds the set time, all eligible orders are closed. Effective Uses: Daily Cut-off: Automatically close all intraday trades at the end of your trading session
FREE
Description: An advanced equity protection and trade management script. It monitors individual trade P&L and closes positions when floating equity targets (profit or loss) are met. It features "skip closing hours" for high volatility, wide spreads, or price instability   times . Features: Closes trades at a target profit (`MAX_FLOATING_EQUITY`) or maximum loss (`MAX_FLOATING_LOSS`). Includes a `FORCE_CLOSE_AT_MAX_EQUITY` level that bypasses all exit protection checks. "SKIP_CLOSING_HOURS" inpu
FREE
Close at Friday
Frank William Jr Colbert
A position management utility designed to automatically close all trades and stop further trading on Friday evenings before the market closes for the weekend. This helps traders avoid weekend gap risk. Features: Activates on Friday based on the broker’s server time. User-definable exit time (e.g., 22:00). Can close Buy orders only, Sell orders only, or both. Includes a flag (`tradingStopped`) to prevent new trades after the Friday exit is triggered. Effective Uses: Weekend Gap Protection: Clo
FREE
Equity Master Projector
Frank William Jr Colbert
Project profits with precision. Equity Master Projection is a comprehensive trade management and analytics dashboard that goes beyond simple equity tracking. It analyzes both open positions and historical trades across multiple symbols and magic numbers, applying powerful filters to isolate your best-performing strategies. With unique features like a "Cut Mode" for profit capping and dynamic HTML/CSV reporting with equity curve charts, this tool transforms raw trading data into a clear, actiona
Have patterns that drive your trading success or failure. The Equity Performance Analyzer breaks down your trade history by symbol, day of the week, and hour of entry to identify exactly when your strategies perform best and worst. It ranks every possible trading pattern (e.g., "EURUSD-BUY-Mon-14") by Net Profit, Win Rate, Return/Drawdown, and a Monte Carlo Proxy. More than just an analytics tool, it generates ready-to-use input parameters for your EAs and a crucial "Worst Patterns to Avoid" se
Turn market pullbacks into profitable recovery trades with the PullBack Velocity Indicator. This tool identifies when a currency pair is in a pullback phase and calculates its velocity to project potential recovery profits. By analyzing the depth and duration of a pullback against the pair's current momentum, the indicator provides a clear "Expected Profit" in pips and dollars, along with an estimated recovery time. It actively alerts you to "HIGH POTENTIAL RECOVERY" scenarios, giving you a qua
Speed Trade Master
Frank William Jr Colbert
Speed Trade Master filters your trade history and open positions to find only the fastest, most efficient trades—winners that hit profit targets quickly and losers that are cut short with minimal drawdown. By applying strict filters for Max MAE ($ and time) and Max MFE (time), it isolates "Lightning Trades." The tool then projects future performance and analyzes weekly patterns, providing a free, essential dashboard for any trader looking to optimize for speed and efficiency. Key Features: Tri
Day Trade Close
Frank William Jr Colbert
An advanced profit-taking EA that closes only *profitable* trades at the end of the day (Monday-Friday) and on Friday, while allowing losing trades to continue running or be handled by other logic. Features: Closes profitable trades at a user-defined "ProfitCloseTime". Separate profit thresholds for regular weekdays (`PROFIT_CLOSE_MG`) and Fridays (`PROFIT_CLOSE_FD`). Includes the full "ExitOnFriday" logic to close *all* trades after a specific Friday time. Can filter by Magic Number, only clo
A time-based position expiration system that moves trades to a "watch list" after they reach a certain age. It does not close them immediately but waits for them to hit a profit target (or loss target) before exiting. Features: Global and Magic-specific expiration periods (format: HH:MM:SS). Tracks expired trades separately and only closes them when a `MIN_PROFIT_CLOSE` target is met (or loss target if "Close Only Profitable" is false). Includes a manual control and statistics reporting functi
Trading tool combining a sophisticated equity stop-loss, dynamic take-profit management (Breakeven & Trailing), and symbol-group-based closing logic. It is a complete risk management and trade supervision tool. Features: All features of `Equity Master Stop v1` (floating profit/loss limits, exit protection, skip hours). Take-Profit Override: Can force a TP on any order to lock in a `MAX_FLOATING_PROFIT`. Step Breakeven: Locks in increasing amounts of profit as a trade moves favorably (e.g., aft
Open Trade EA
Frank William Jr Colbert
A basic entry and position management EA that opens trades on multiple currency pairs at specific times. It includes its own internal trailing stop and take-profit logic, as well as integrated "end-of-day" and "Friday" profit-close features from the other scripts. Features: Opens trades on user-defined `PairsSet1` through `Set6` at specific `TradeTime` inputs. Configurable position sizing (`Lots`), Stop Loss, and Take Profit. Includes its own `TrailOrders` function that trails both SL and TP b
Open Round Level
Frank William Jr Colbert
A Expert Advisor that automatically opens trades when price crosses predefined pip-based round levels. Unlike simple round number EAs that only trade on psychological levels like 1.1000 or 1.2000, this EA allows you to define up to five independent pip intervals simultaneously, each with its own Magic Number for separate tracking and management. The EA functions as a complete trading system, combining automated entry based on price crossing round levels, directional control, integrated trailin
Echo Simulator Trader is a powerful hybrid simulation-to-live EA that runs thousands of pure price-action simulated trades in parallel with your live account. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built for complete control and proof-of
Echo Simulator Trader v2 expands the simulation engine of v1 hybrid simulation-to-live EA that runs thousands of pure price-actions simulated trades in parallel with specified day and time. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built fo
Echo Simulator Trader v3 expands the simulation engine of v2 with 5 independent Property Sets (P1–P5). Each set can run on its own timeframe, magic number, position limits, and pip-interval grid logic — allowing you to test and run completely different strategies simultaneously within one EA. Simulated trades feed into a unified performance analyzer that decides which strategies graduate to real trading. With enhanced multi-magic support, pip-based round-level entries (mean reversion or breakou
Project profits with precision. Equity Master Projection is a comprehensive trade management and analytics dashboard that goes beyond simple equity tracking. It analyzes both open positions and historical trades across multiple symbols and magic numbers, applying powerful filters to isolate your best-performing strategies. With unique features like a "Cut Mode" for profit capping and dynamic HTML/CSV reporting with equity curve charts, this tool transforms raw trading data into a clear, actiona
A time-based position expiration system that moves trades to a "watch list" after they reach a certain age. It does not close them immediately but waits for them to hit a profit target (or loss target) before exiting. Features: Global and Magic-specific expiration periods (format: HH:MM:SS). Tracks expired trades separately and only closes them when a `MIN_PROFIT_CLOSE` target is met (or loss target if "Close Only Profitable" is false). Includes a manual control and statistics reporting functi
Trading tool combining a sophisticated equity stop-loss, dynamic take-profit management (Breakeven & Trailing), and symbol-group-based closing logic. It is a complete risk management and trade supervision tool. Features: All features of `Equity Master Stop v1` (floating profit/loss limits, exit protection, skip hours). Take-Profit Override: Can force a TP on any order to lock in a `MAX_FLOATING_PROFIT`. Step Breakeven: Locks in increasing amounts of profit as a trade moves favorably (e.g., aft
Open Trade MT5
Frank William Jr Colbert
A basic entry and position management EA that opens trades on multiple currency pairs at specific times. It includes its own internal trailing stop and take-profit logic, as well as integrated "end-of-day" and "Friday" profit-close features from the other scripts. Features: Opens trades on user-defined `PairsSet1` through `Set6` at specific `TradeTime` inputs. Configurable position sizing (`Lots`), Stop Loss, and Take Profit. Includes its own `TrailOrders` function that trails both SL and TP b
Have patterns that drive your trading success or failure in MT5. The Equity Performance Analyzer breaks down your trade history by symbol, day of the week, and hour of entry to identify exactly when your strategies perform best and worst. It ranks every possible trading pattern (e.g., "EURUSD-BUY-Mon-14") by Net Profit, Win Rate, Return/Drawdown, and a Monte Carlo Proxy. More than just an analytics tool, it generates ready-to-use input parameters for your EAs and a crucial "Worst Patterns to Av
A Expert Advisor that automatically opens trades when price crosses predefined pip-based round levels. Unlike simple round number EAs that only trade on psychological levels like 1.1000 or 1.2000, this EA allows you to define up to five independent pip intervals simultaneously, each with its own Magic Number for separate tracking and management. The EA functions as a complete trading system, combining automated entry based on price crossing round levels, directional control, integrated trailin
Echo Simulator Trader is a powerful hybrid simulation-to-live EA that runs thousands of pure price-action simulated trades in parallel with your live account. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built for complete control and proof-of
Echo Simulator Trader v2 expands the simulation engine of v1 hybrid simulation-to-live EA that runs thousands of pure price-actions simulated trades in parallel with specified day and time. It opens simulated LONG and SHORT positions at regular intervals on multiple pairs, meticulously tracks their performance using your exact risk rules, and only activates real trading once simulated strategies pass your custom performance filters (Net Profit, Profit Factor, Win Rate, Drawdown, etc.). Built fo
Echo Simulator Trader v3 expands the simulation engine of v2 with 5 independent Property Sets (P1–P5). Each set can run on its own timeframe, magic number, position limits, and pip-interval grid logic — allowing you to test and run completely different strategies simultaneously within one EA. Simulated trades feed into a unified performance analyzer that decides which strategies graduate to real trading. With enhanced multi-magic support, pip-based round-level entries (mean reversion or breakou
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