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Pairs Spread ZScore — is a statistical pairs-trading indicator for two correlated instruments. By default it is configured for BTCUSD against ETHUSD, a widely traded crypto pair, but any two correlated symbols available on your broker can be used as the second instrument. How it works The indicator builds a normalized spread between the base symbol and a second symbol (Symbol2) using a rolling lookback window (Period). Both price series are standardized before the spread is
An Expert Advisor for BTCUSD on the H1 timeframe based on market structure through fractals. Entries are taken on a breakout of the latest confirmed fractal level at candle close, with an optional add-on entry on a retest of the same level. The stop loss is derived from ATR and trails forward on new opposing fractals. No take profit is used — exits happen only via stop loss or trailing. Logic: direction is defined by a breakout of the upper or lower fractal (the number of bars left/right
This indicator automatically identifies liquidity levels using swing fractals and tracks when price sweeps through them. Works on any symbol and timeframe with full multi-timeframe support. Features: — Detects swing highs and lows via a fractal method (configurable bars left & right) on a selected timeframe. Active levels are displayed as rays extending to the right; swept levels turn into dashed lines ending at the sweep candle. — Plots Previous Day (PDhigh / PDlow), Previous Week (PWhigh /
Midpoint Magnet MT5 — 高精度均衡价格指标(SMC / ICT) Midpoint Magnet MT5 是专为采用聪明钱概念(SMC)和ICT方法论交易的交易者设计的专业自动化工具。该指标能够自动识别机构订单流失衡区域(FVG — 公允价值缺口),通过严格的分形算法确定行情冲量的真实起点,并绘制出动态的50%水平线(均衡位),该水平线对价格具有极强的吸引力。 Midpoint Magnet 的主要优势: 真正的多周期分析(MTF):您可以在H1周期上分析结构与FVG,同时轻松地在M5或M15周期进行日内交易。指标严格按照设置中选定的周期计算数据。 绝对清晰的图表(无杂乱显示):彻底告别混乱!指标严格遵循一条规则:每个方向上最多只显示一条活跃线。新的强势冲量会自动覆盖并取代旧的线条。 "智能"历史记录:一旦价格触及50%水平(目标达成),粗实线会立即转变为细虚线。您始终可以看到历史达成记录,而不会干扰当前市场的观察。
Smart Martin 交易顾问可自动执行基于支撑/阻力水平的交易策略,适用于 EURUSD(H1 时间框架)。 主要特点: 基于突破/反弹的精准入场。 严格的风险管理:固定止损(Stop Loss)和止盈(Take Profit)。 通过波动性分析过滤虚假信号。 策略详情 入场规则 交易水平基于价格技术分析建立。 出场规则 止损(Stop Loss): 入场价200点(固定)。 止盈(Take Profit): 200点(风险回报比1:1)。 参数设置 // 主要参数 input double Lots = 0.1; // 交易手数 input int StopLoss = 100; // 止损(点数) input int TakeProfit = 200; // 止盈(点数) 建议 交易品种: EURUSD(针对 H1 优化)。 经纪商: 推荐低点差(< 2 点)。 风险管理: 账户资金 $1000,LotSize = 0.1。 仅在高流动性时段交易 (07:00–19:00 GMT+2)。 避免在重大新闻发布期间交易 (内置新闻日历)。 购买顾问的额外福利!




