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Expert Advisors'ın yaratıcısı olarak, gerçek dünya koşulları için tasarlanmış, güvenilirlik, risk kontrolü ve çoklu piyasa senaryolarında optimize edilmiş performansa önem veren, kullanıma hazır sistemler geliştirir. Portföyünde, akıllı para, emir akışı ve kantitatif modeller gibi kavramlara dayanan stratejiler bulunur ve bunların tümü verimli ve ölçeklenebilir otomatik sistemlere dönüştürülmüştür.
Sonuç odaklı ve sürekli iyileştirme güdüsüyle hareket eden Dr. Kuzman, tutarlılık ve rekabet avantajı arayan yatırımcılar için yüksek kaliteli araçlar sunmaya kendini adamıştır. Yaklaşımı, teknik uzmanlığı piyasalara yönelik pragmatik bir bakış açısıyla harmanlayarak, her çözümün sadece yenilikçi değil, aynı zamanda pratik ve uygulamaya hazır olmasını sağlar.
ROCKET type A — XAUUSD — GOLD HOVER SLAGANI: Trend izin istemez. Rocket 1, piyasa yapısı teyit edildiği anda bu trendi yakalamak üzere tasarlanmıştır. STRATEJİ HAKKINDA Roket 1, XAUUSD'yi kurumsal emir akışının merceğinden inceler: piyasa yapısındaki değişiklikler, likidite dalgaları ve büyük katılımcıların geride bıraktığı Emir Blokları. Daha yüksek zaman diliminde bir eğilim belirlendiğinde, EA fiyatın likiditeyi süpürmesini ve yapıyı o yönde değiştirmesini bekler, ardından giriş
THE MECHANICS
The EA tracks a sequence of candles until it finds a tight, overlapping range — the highest low sitting below the lowest high. Once that range breaks, it fires two positions at once: a BUY and a SELL, equal in size, both carrying the same short Stop Loss. From there the market does the sorting. The side going against the breakout is stopped quickly, at a small, known cost. The side confirmed by the breakout keeps running, aimed at a Take Profit set well beyond the risk taken to find it.
No indicator sits behind this logic — the breakout of the range is the only signal the EA needs, and it never has to guess which direction to favor in advance.
BUILT WITHOUT
- Grid strategies of any kind
- Martingale or lot escalation after a loss
- Manual bias, discretionary entries, or emotional overrides
- Trades opened without a hard Stop Loss
ADVANTAGES
Fully automated from analysis to exit. Three sizing modes — Fixed Lot, Fixed Profit, AutoLot. No set files or optimization needed before running it. Built on the same engine as 21 other pairs in this series, so once you understand one, you understand all of them.
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AUDJPY KIRILMA STRADDLE HOVER SLOGANI Risk algısı, AUDJPY’yi şiddetli bir şekilde sallıyor. Bu EA hangi yöne gideceğini tahmin etmez — her iki duruma da hazırdır. TEMEL AVANTAJLAR Grid yok, Martingale yok, zararlarda ortalamaya çekme yok Saf fiyat hareketi kırılma mantığı — sıfır gösterge Straddle girişi, yönü tahmin etme ihtiyacını ortadan kaldırır Kısa pozisyon, paylaşılan Stop Loss / uzun pozisyon Take Profit sadece hayatta kalan pozisyonda Tamamen otomatik, tak ve çalıştır — ayar dosyası yok
Two positions. One direction. The market decides.
ABOUT THE STRATEGY combines two currencies with independent rate cycles and enough volatility between them to build sharp, tradable breaks once a consolidation finally resolves. Breakout Straddle is designed for exactly that pattern. It tracks a sequence of candles for a tight, overlapping price range, then straddles the breakout instead of trying to call it early: a BUY and a SELL open together, same size, each protected by an identical short Stop Loss. The side fighting the move is closed fast, at a small, known cost. The side confirmed by the breakout is left running, targeting a Take Profit set well beyond the risk taken to find it.
HOW IT WORKS
Map a sequence of candles into a tight, overlapping price range.
Trigger a simultaneous BUY and SELL the moment the range breaks.
Protect both positions with the same short Stop Loss.
Close the losing side fast; let the winning side run toward its Take Profit.
No indicators, no repainting signals, no directional guesswork — the breakout is the only trigger this system needs.
CORE ADVANTAGES
Fully automated entries and exits
Defined risk on every trade, from the first tick
No Grid, no Martingale, no averaging into losses
Fixed Lot / Fixed Profit / AutoLot sizing options
Zero set files or optimization required
Built on the same engine as 21 sister EAs, one per major pair
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CORE ADVANTAGES
No Grid, no Martingale, no lot escalation after a loss
Straddle entry — no need to predict the breakout direction
Short, shared Stop Loss; long Take Profit on the survivor only
Pure price action, zero indicators, zero repainting
Fixed Lot / Fixed Profit / AutoLot built in
No set files, no optimization — ready on attach
Part of a 22-pair portfolio sharing one core engine
ABOUT THE STRATEGY Breakout Straddle is built to sit through the compression and act only once it ends. It watches for a run of candles compressed into a tight, overlapping price range. The moment that range breaks, it opens a BUY and a SELL together, same size, each guarded by an identical, short Stop Loss. Whichever side fights the breakout is closed quickly for a small, known loss. Whichever side is confirmed by it stays open, aimed at a Take Profit set considerably further away than the risk taken to get there.
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ABOUT THE STRATEGY compresses into tight ranges, then releases. Breakout Straddle maps that compression and prepares for the breakout in both directions at once. When the range breaks, two positions open simultaneously — one BUY, one SELL — both with a short Stop Loss. The losing side is cut fast; the surviving side runs toward a long Take Profit. The market decides the direction, not a prediction.
HOW IT WORKS
Identify a sequence of candles forming a tight, overlapping price range.
On breakout, open a BUY and a SELL simultaneously, equal size.
Both share a short, symmetrical Stop Loss.
One side is stopped; the surviving side stays open, following the trend.
Result: a small, defined loss on one side and open upside potential on the other.
No indicators. No repainting. No directional bias — the breakout itself is the only trigger.
CORE ADVANTAGES
Pure price-action breakout detection
Directional straddle — no need to predict the breakout direction
Short, shared Stop Loss / long Take Profit on the survivor only
Fully automated, no discretionary decisions
No Grid, no Martingale, no averaging into losses
Ready to use out of the box — no set files, no optimization
Fixed Lot / Fixed Profit / AutoLot modes included
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It’s a proprietary strategy that took thousands of hours of work to develop, based on solid concepts and extensive experience.
The RR (reward/risk) is now positive, and the TP (take profits) are much higher than the SL (stop loss).
Profit: 44.4%
Drawdown: 6.8%
https://www.mql5.com/en/market/product/169758
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Profit: 19.9%
Drawdown: 8.6%
https://www.mql5.com/en/market/product/158845
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Profit: 39.2%
Drawdown: 6.8%
https://www.mql5.com/en/market/product/169758
...
Profit: 25.5%
Drawdown: 8.6%
https://www.mql5.com/en/market/product/158845
...
Profit: 34.6%
Drawdown: 6.8%
https://www.mql5.com/en/market/product/169758
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