工作已完成
执行时间1 一天
客户反馈
Exceptional developer. Delivered a flawless code module ahead of schedule. Deep understanding of complex risk logic. Highly recommended. Will hire again for the next phase immediately.
指定
Project Overview:
We are seeking a highly skilled MQL5 developer to create a core, standalone Money Management (MM) module. This is *not* a request for a full trading strategy, but a fundamental safety component that must be mathematically precise and error-free.
The primary objective is to implement a robust FIXED MAX LOSS PER TRADE function, which is the cornerstone of our capital preservation strategy.
Phase 1 Requirements (Non-Negotiable):
1. Fixed Max Loss Guarantee (Core Function): The module must calculate the precise lot size for *any* given trade (BUY/SELL) based on two user-defined inputs:
* Input A (Safety): User-defined MAXIMUM DOLLAR/EURO LOSS per trade (e.g., $50, €100).
* Input B (Exit): The actual, dynamic distance to the trade's Stop Loss (SL) level in points/pips.
The resulting Lot Size must GUARANTEE that if the SL is hit, the realized loss is EXACTLY the value of Input A (Max Loss).
2. Precision Calculation: The calculation must accurately account for the instrument's Point Value (currency conversion) to ensure dollar/euro precision.
3. Broker Compatibility: The module must work seamlessly on ECN/STP accounts and accurately handle dynamic Stop Loss distances.
Key Developer Filter (Mandatory Question for Application):
* Crucial Test: We require an explicit confirmation that the developer understands that the Lot Size must be inversely proportional to the Stop Loss distance (i.e., a wider SL must result in a smaller lot size to maintain the fixed dollar risk).
* The Problem We Are Solving: The developer must confirm they understand that we are avoiding the fatal flaw in public EAs where "Risk %" is merely a Lot Multiplier unlinked to the SL.
Budget: $200 - $350 (Depending on complexity and developer rating)
Timeline: 5-7 Days for initial module delivery.
Next Steps: Please provide a brief explanation of how you would approach the lot sizing calculation (the formula/method you would use). We will only proceed with developers who clearly understand the FIXED MAX LOSS principle.
We are seeking a highly skilled MQL5 developer to create a core, standalone Money Management (MM) module. This is *not* a request for a full trading strategy, but a fundamental safety component that must be mathematically precise and error-free.
The primary objective is to implement a robust FIXED MAX LOSS PER TRADE function, which is the cornerstone of our capital preservation strategy.
Phase 1 Requirements (Non-Negotiable):
1. Fixed Max Loss Guarantee (Core Function): The module must calculate the precise lot size for *any* given trade (BUY/SELL) based on two user-defined inputs:
* Input A (Safety): User-defined MAXIMUM DOLLAR/EURO LOSS per trade (e.g., $50, €100).
* Input B (Exit): The actual, dynamic distance to the trade's Stop Loss (SL) level in points/pips.
The resulting Lot Size must GUARANTEE that if the SL is hit, the realized loss is EXACTLY the value of Input A (Max Loss).
2. Precision Calculation: The calculation must accurately account for the instrument's Point Value (currency conversion) to ensure dollar/euro precision.
3. Broker Compatibility: The module must work seamlessly on ECN/STP accounts and accurately handle dynamic Stop Loss distances.
Key Developer Filter (Mandatory Question for Application):
* Crucial Test: We require an explicit confirmation that the developer understands that the Lot Size must be inversely proportional to the Stop Loss distance (i.e., a wider SL must result in a smaller lot size to maintain the fixed dollar risk).
* The Problem We Are Solving: The developer must confirm they understand that we are avoiding the fatal flaw in public EAs where "Risk %" is merely a Lot Multiplier unlinked to the SL.
Budget: $200 - $350 (Depending on complexity and developer rating)
Timeline: 5-7 Days for initial module delivery.
Next Steps: Please provide a brief explanation of how you would approach the lot sizing calculation (the formula/method you would use). We will only proceed with developers who clearly understand the FIXED MAX LOSS principle.
反馈
1
等级
项目
298
28%
仲裁
33
24%
/
61%
逾期
9
3%
工作中
2
等级
项目
13
8%
仲裁
1
0%
/
100%
逾期
0
空闲
3
等级
项目
54
59%
仲裁
1
0%
/
0%
逾期
6
11%
工作中
4
等级
项目
1
0%
仲裁
0
逾期
1
100%
空闲
5
等级
项目
88
42%
仲裁
4
0%
/
100%
逾期
3
3%
工作中
6
等级
项目
945
47%
仲裁
309
58%
/
27%
逾期
125
13%
空闲
7
等级
项目
643
26%
仲裁
92
72%
/
14%
逾期
12
2%
工作中
发布者: 1 代码
8
等级
项目
469
39%
仲裁
101
41%
/
23%
逾期
77
16%
已载入
发布者: 2 代码
9
等级
项目
4
25%
仲裁
0
逾期
1
25%
繁忙
10
等级
项目
2
0%
仲裁
1
0%
/
0%
逾期
0
工作中
11
等级
项目
106
28%
仲裁
3
33%
/
33%
逾期
2
2%
工作中
12
等级
项目
618
33%
仲裁
35
37%
/
49%
逾期
10
2%
繁忙
13
等级
项目
460
26%
仲裁
140
20%
/
59%
逾期
100
22%
工作中
相似订单
1) Советник открывает двойной ордер одинакового объёма разного направления, заданного в параметрах, как стартовый лот; этот ордер считается нулевым; 2) По ходу движения цены в любую сторону советник открывает на каждом шаге сетки двойные ордера, согласно множителю (5.) и условиям пункта 29.; Визуально - это выглядит так, что вся сетка состоит из двойных ордеров, либо по краям сетки всегда остаются двойные ордера, при
项目信息
预算
150 - 250 USD
截止日期
从 5 到 10 天