Conservative Portfolio: Mean Reversion and Trend-Trading EA

MQL5 专家

指定

Hello, 

I am looking for a very experienced programmer that already has or can set up a portfolio with 2 EAs: 

One mean reversion and one trend trading EA. Preferably for the Forex and Index-Markets (SPX or Nasdaq). 

I am very conservative, so I want a max Drawdown of around 10% with an annual return of 20%-30%. I want to take very small positions. 

I am looking for someone who can stress test these 2 EAs in a portfolio (backtest, Monte Carlo Simulation, Foward Test etc.).

It is important to me that I receive updates while programming. I have had experiences with 0 Updates for days, which is not a good collaboration to me. 

The complete strategy entries/exits/drawdown control has to explained in a PDF or video. 

I would prefer someone who can provide a demo EA for backtest or LIVE running, so I can see some kind of evidence before we get started. 


No scalping or high frequency trading. 


Please no short messages of contact. I want a complete explanation specifically to this job and how you can get it done. Thanks. 

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项目信息

预算
200 - 400 USD
截止日期
 5  15 天