Plug and play EA required for small accounts

MQL5 指标 专家

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执行时间143 天
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指定

Plug-and-Play EA Specifications

1. Strategy Logic

  • Type: Trend-Following with Moving Averages.

  • Indicators:

    • 50-period Simple Moving Average (SMA).

    • 200-period Simple Moving Average (SMA).

  • Timeframe: H1 (1-hour chart) – preconfigured and not adjustable by the trader.

  • Currency Pairs: EURUSD (preconfigured, but can be expanded if needed).

2. Entry Conditions

  • Buy Signal:

    • 50 SMA crosses above the 200 SMA (Golden Cross).

    • Price closes above the 200 SMA for confirmation.

  • Sell Signal:

    • 50 SMA crosses below the 200 SMA (Death Cross).

    • Price closes below the 200 SMA for confirmation.

3. Exit Conditions

  • Take Profit: Fixed at 1:2 risk-reward ratio (preconfigured).

  • Stop Loss: Placed at the recent swing low (for buys) or swing high (for sells).

  • Trailing Stop: Activated at 20 pips in profit, trailing by 10 pips (preconfigured).

4. Risk Management

  • Risk per Trade: Fixed at 1% of the account balance (preconfigured).

  • Lot Size Calculation:

    Lot Size = Account Balance × 0.01 Stop Loss in Pips × Pip Value Lot Size=Stop Loss in Pips×Pip ValueAccount Balance×0.01
  • Maximum Drawdown:

    • Stop trading if the account reaches a 5% daily drawdown or 10% total drawdown (preconfigured).

  • Max Open Trades: Limited to 1 trade at a time (preconfigured).

5. Additional Filters

  • Time Filter: Only trade during London and New York sessions (preconfigured).

  • News Filter: Avoid trading during high-impact news events (use an economic calendar API or preloaded news data).

  • Daily/Weekly Stop:

    • Close all trades and stop trading if the account reaches a 5% daily profit or 10% weekly profit (preconfigured).

6. User Interface (UI)

  • The EA should have a simple interface with the following options:

    • On/Off Switch: To enable or disable the EA.

    • Account Balance Display: Show the current account balance.

    • Risk Percentage: Preconfigured at 1% (non-adjustable).

    • Trade Status: Display whether the EA is active, in a trade, or stopped due to drawdown/profit limits.

7. Error Handling

  • The EA should log all errors (e.g., connectivity issues, margin errors) and stop trading if any critical error occurs.

  • It should automatically resume trading once the issue is resolved.

8. Backtesting and Optimization

  • The developer should backtest the EA on EURUSD H1 for at least 2 years of historical data.

  • Optimize the parameters (e.g., SMA periods, trailing stop distance) to ensure robustness.

  • Perform Monte Carlo simulations to test the EA’s performance under different market conditions.

    9) Licensing - basic licensing will do



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截止日期
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