An Expert Advisor based on wyckoff schematics Accumulation/Distibution

指定

    • The primary goal is to develop an automated trading robot that identifies and trades based on Wyckoff accumulation and distribution schematics in the Forex market. The robot aims to mechanize the discretionary aspects of Wyckoff analysis, providing consistent, emotion-free trade execution.

      2. Uses of the Robot:

      • Automated Trading: Execute trades (entry, stop-loss, take-profit) based on identified Wyckoff patterns without manual intervention.

      • Backtesting: Rigorously test the viability and profitability of Wyckoff-based strategies across various currency pairs, timeframes, and historical data.

      • Pattern Scanning & Alerting: Continuously scan multiple currency pairs and timeframes for emerging Wyckoff phases and key events, alerting the user or taking predefined actions.

      • Objective Analysis: Remove emotional bias and subjectivity inherent in manual Wyckoff interpretation.

      • Strategy Optimization: Allow for tweaking parameters related to Wyckoff event definitions to optimize performance.

      • Time Efficiency: Trade the markets 24/5 without requiring constant human monitoring, especially useful for traders with limited time.

      3. Core Specifications (The "What"):

      • A. Wyckoff Logic Engine:

        • Phase Identification: The robot must be able to identify the distinct phases of Wyckoff schematics:

          • Accumulation (Phase A, B, C, D, E)

          • Distribution (Phase A, B, C, D, E)

          • (Optional: Re-accumulation and Re-distribution)

        • Key Event Recognition: Identify specific Wyckoff events within these phases:

          • Accumulation: Preliminary Support (PS), Selling Climax (SC), Automatic Rally (AR), Secondary Test (ST) in Phase B, Spring (or Shakeout), Test of Spring, Sign of Strength (SOS), Last Point of Support (LPS), Back-Up (BU).

          • Distribution: Preliminary Supply (PSY), Buying Climax (BC), Automatic Reaction (AR), Secondary Test (ST) in Phase B, Upthrust After Distribution (UTAD), Sign of Weakness (SOW), Last Point of Supply (LPSY), Test of UTAD/LPSY.

        • Volume Analysis:

          • Integrate volume data to confirm price action (e.g., high volume on climaxes, diminishing volume on tests, increased volume on breakouts).

          • Ability to use relative volume or volume spikes compared to an average.

        • Price Structure Analysis:

          • Identify trading ranges (TRs).

          • Recognize higher highs/lows for markup and lower lows/highs for markdown.

          • Detect absorption of supply/demand.

      • B. Trading Parameters (User Configurable):

        • Currency Pairs: Selectable list of pairs to monitor.

        • Timeframes: Selectable primary timeframe for analysis and (optional) higher/lower timeframes for confirmation.

        • Wyckoff Event Sensitivity: Parameters to define the "strength" or "clarity" of events (e.g., percentage price move for AR, volume threshold for Climax).

        • Entry Rules: Define specific triggers for entry (e.g., after SOS and successful test of LPS, or after SOW and test of LPSY).

        • Stop-Loss Placement:

          • Based on Wyckoff structure (e.g., below Spring for longs, above UTAD for shorts).

          • ATR-based or fixed pip value.

        • Take-Profit Placement:

          • Based on projected range expansion (Point & Figure an advanced option, or simple multiples of risk).

          • Targeting previous significant S/R levels.

          • Trailing stop options.

      The robot must accurately identify at least one primary Wyckoff accumulation schematic and one primary distribution schematic.  The robot must be able to identify key events (SC/BC, AR, ST, Spring/UTAD, SOS/SOW, LPS/LPSY) with configurable sensitivity.  The robot must integrate volume analysis to confirm or deny price action signals.  The robot must execute market or pending orders based on predefined entry criteria.  The robot must automatically set stop-loss and take-profit orders upon trade entry.  The robot must manage open positions according to defined rules (e.g., trailing stops).  The robot must allow users to configure all critical trading parameters.  The robot must provide detailed logs of its operational decisions and trade executions. The robot must be able to run continuously on a VPS (Virtual Private Server).

    • Data Handling: Efficiently process historical and real-time tick/bar data (Open, High, Low, Close, Volume).

    • Error Handling & Logging: Robust error handling (e.g., connection issues, trade execution errors) and detailed logging of decisions, trades, and errors.  

      Visual display of identified Wyckoff phases and events on the chart. 

      Trade history and performance statistics (win rate, profit factor, drawdown, etc.). Alerts (on-screen, email, push notifications) for identified patterns or executed trades.

Make use of a Capital Management system Soros



反馈

1
开发者 1
等级
(49)
项目
71
21%
仲裁
11
18% / 27%
逾期
6
8%
已载入
2
开发者 2
等级
(258)
项目
583
36%
仲裁
64
20% / 58%
逾期
147
25%
空闲
发布者: 1 文章, 22 代码
3
开发者 3
等级
(52)
项目
90
51%
仲裁
1
0% / 0%
逾期
1
1%
空闲
4
开发者 4
等级
(284)
项目
459
39%
仲裁
95
43% / 18%
逾期
73
16%
工作中
发布者: 2 代码
5
开发者 5
等级
项目
0
0%
仲裁
0
逾期
0
空闲
6
开发者 6
等级
(44)
项目
45
24%
仲裁
23
13% / 74%
逾期
10
22%
工作中
7
开发者 7
等级
(270)
项目
550
49%
仲裁
55
40% / 36%
逾期
227
41%
工作中
8
开发者 8
等级
项目
0
0%
仲裁
1
0% / 100%
逾期
0
空闲
9
开发者 9
等级
(4)
项目
5
0%
仲裁
1
0% / 0%
逾期
1
20%
工作中
10
开发者 10
等级
(64)
项目
144
46%
仲裁
19
42% / 16%
逾期
32
22%
空闲
相似订单
Twentytwo:Twentytwo 30 - 100 USD
Hi; I need a trading robot following a self discovered trading strategy. I'm not familiar with programming, but I will put a description in Latin and English text to better clarify. The formula is linechart based , involves support and resistance and trend lines
Wealthy EA 1.0 30+ USD
US100Cash (Nasdaq 100) M5 chart and the current SELL setup,Stop Loss and Take Profit levels. --- 🔻 SELL Trade Plan (Short Position) ✅ Entry: Sell near 23195–23200 (current level is within this zone). --- 📍 Stop Loss (SL): Place above recent resistance, where price was rejected. 🔺 Stop Loss: 23260 (Above the recent swing high — gives the trade breathing room) --- 🎯 Take Profit (TP): Use recent support levels as
Hello guys, I'm currently looking for a serious and well-tested EA that can help pass prop firm challenges (like FTMO, MyForexFunds, etc.) and eventually run on a funded account. Requirements: Max Drawdown: 1–2% per trade Lot Size: Adjustable based on the challenge account size Risk Management: On-chart panel showing all key stats (daily drawdown, equity, profit target, etc.) Stop Loss & Take Profit: Must follow
We are looking for a highly experienced MQL4/MQL5 developer to build an auto-compounding trading robot focused on XAUUSD (Gold) and major Forex pairs. The goal is to build a smart EA that grows capital through dynamic lot sizing and strategic risk management. Key Features Required: Compounding logic to grow small balances into high returns Auto lot size adjustment based on equity Only one trade open at a time Support
Back End Developer Required with Prop firm experience , For an ongoing live chart support . Please mention about your Prop Firm experience while applying , Following are the project requirements : ATR Threshold Breakout . Certification . The expert is designed to gain 1-2 % of the equity every single day . ( for prop firms ) . Session Filter , Economic Calendar Filter . The Panel needs Minor Adjustments to show the
Hello, I'm looking for an MQL5 developer to build a tool to measure, evaluate and visualize a broker's fairness through various metrics. What you'll build: - A modular EA to measure broker fairness metrics (Eg. slippage, spread spikes, execution delays). - An interactive display for the user. - A system for saving measurements to, and retrieving from a file. Modular code: - Code must be clean, documented and
TOS DEVELOPER 30+ USD
Hello, I want to enter the formulas for all the option exposures that don't appear in the TOS options chain by default. Once that's done, I can extract the real-time data from there so I can graph it in Excel. Do you know how to do this? I have the formulas for the exposures, there are two more add-ons I'd like to have. The first would be to have the total in billions for each exposure. I'd also like to have the
I want the ea to be made on rsi and ema crossover, rsi below 20 buy and ema9,21 bullish crossover vice versa and for sell rsi above 80 and ema 9 and ema 21 bearish crossover
Hello sir, can you change a strategy for me from limit orders to market orders? I had someone code me a strategy for me and they used limit orders which is causing errors to pop up. I want to be able to use market orders so these errors don’t show up again. I also want to close any naked positions that don’t have a TP or SL. This is on ninja trader 8. Please let me know if this is something you can do, thank you 🙏
I'm looking to purchase an existing **Expert Advisor for MetaTrader 5** that executes **between 5 and 10 trades per day** (on average). ✅ Requirements: - Fully automated - Works with any pair (Forex, gold, indices…) - No HFT, no arbitrage - No martingale (or very controlled) - Stable performance (low drawdown) - Includes backtest or live results - Ready to use If you have a working EA that fits this profile, please

项目信息

预算
30 - 200 USD
截止日期
 5  30 天

客户

所下订单1
仲裁计数0