News Trader Pro Demo MT5 News Trader Pro - unique robot allows you to trade on the news of your strategy. It loads all the news from several popular...
Candle close timer demo The indicator determines the time before the end of the current candle. The indicator can show both the time before the end of...
News Trader Pro Demo MT5 News Trader Pro - unique robot allows you to trade on the news of your strategy. It loads all the news from several popular...
Auto-optimizing grid expert. On the basis of genetic algorithms in the EA implemented auto-optimization with a given period of time, now you do not need to optimize the skills from time to time, and only need to install, and once set up. The real expert system for real work, working with a deposit of $ 1000. With the default settings, you can work on the currency pair EURUSD.
Work with the account with hedging trade! Examples of settings at the beginning of "Discussion" section.
Principle of operation
Is used to determine the trend of regression indicator. Another regression indicator is used to identify the entry point on the spread. The settings also specified the minimum grid spacing. The maximum step is not specified, it is determined only by the second indicator i-Regr. The expert uses the stop-loss, take-profit. Regression Indicator is constantly being updated so to trace his history is difficult to see the true picture, use i-RegrReal indicator.
Automatic optimization
In the expert it is possible to configure the automatic optimization of a certain period of optimization, which is very convenient for the user, because all the time the expert settings are relevant.
Settings - base:
NameSetting - Setting Name;
Comments - Comment to the order;
FridayTimeServerStop - Time after which prohibited the opening of orders on Friday;
OnBuy - Permission to work on the Buy;
OnSell - Permission to work on Sell;
OpenTF - The period for which the open orders;
Settings - risks:
LotDigits - The number of digits in the lot step after the decimal point (. 2 - min step:. 0.01; 1 - min step:. 0.1; 0 - min step: 1.0);
Lot - It allows you to specify the lot directly;
Risk - Generates the initial lot, depending on the deposit. With the growth of the deposit will also grow a lot, would not allow to distort the picture of the work of an expert;
LotExponent - The coefficient for the exponential increase in the lot (if greater than one such as 1.2 - 1.8);
LimitSpread - Restrictions on spreads;
VolumeFilter- Limitations in terms of inputs;
LimitOrders - Limitations maximum mesh orders in one direction;
TotalEquityRisk - Closes all positions for a given loss - its means;
TotalEquityProfit - Closes all positions at a predetermined profit - its means;
Settings - Automatic correction of stops:
AutoCorrectionStops - The period for which the calculation is carried out;
AutoCorrBars - The number of bars for the calculation;
RePriceMin - Sets auto-optimization mode, turned off by default;
RePriceMax - Minimum roll back prices;
RePriceMax - Maximum roll back prices;
TP - Take-profit;
aSL - Stop-loss should be set for the protection of the deposit;
AutoCorrSL - Automatically determining factor for the stop-loss (at aSL = 0);
aPipStep - The minimum grid spacing;
AutoCorrPipStep - Rate for automatically determining the grid spacing (at aPipStep = 0);
MotorF1 trading strategy The expert system analyzes the local trend and expects the price rollback recorded against the trend. period of history to find...
Exp TickSniper FULL This expert is able to capture the rapid movement quotes and currency pair open transaction in the direction of movement. All the...
Instruments: series or WIN IND (Bovespa Index Future Contracts - Futures contracts on the Bovespa index)
Chart Period: M30
A type: Trend / Day Trading
Description:
Gekko A1 - is the adviser, optimized to work with futures contracts on the index IBOV (WIN / IND) to the Brazilian Trade and Futures Exchange (BM&F Bovespa) on M30 graphs;
It performs only intra-transaction, therefore it is possible to work with a reduced number of available funds;
It's not a scalper, a trend adviser. He is waiting for the formation of extreme highs and lows throughout the day, and then enters the market in the purchase or sale of the breakdown of the price range.
He makes only one transaction per day, and seeks to maximize profit on this position. Typically, input is performed in the middle of the afternoon local time, often closing the position at the close of the market;
Select the number of contracts to trade and sending alerts, and all Advisor is ready.
Low slump and high profitability during testing, see the screenshots.
Input parameters:
Magic Number: Magic number for the identification of all orders related to the position being traded;
Volume or Lot Size: The number of contracts to trade;
Send Mobile Push Notifications: Set to true to send push-notifications on the MetaTrader app on your device for all transactions;
Send E-Mail Alerts: Set to true to send notifications by e-mail for all operations at the address specified in the terminal settings;
Write Logs On Terminal Window: Set to true to write messages to the log in the "Experts" for all operations of the terminal.
recommendations:
Remember:
Futures trading involves substantial risk and are not suitable for all investors. The investor may lose all or more than your initial investment;
Risk capital is money that can be lost without jeopardizing the financial security or a person's lifestyle. Only risk capital should be used for trade, and to engage in trading should only be for those who have sufficient risk capital.
Past performance is not necessarily indicative of future results;
Use of robots with care:
Before purchasing advisor, download the demo and run the tests;
Before trading in actual accounts, intends to compete for some time on a demo account or a live account, but with a reduced size lots.
Good luck trading!
Donate a portion of your profits to good causes and humanitarian organizations of your choice. "Money comes only when you have a reason to earn them."
MULTIGAP MULTIGAP - multi-advisor working for Gap. gap - the emergence of "gap" between quotations Friday's closing and opening of quotations Monday....
Lazy Locker Advisor is designed to only trade currencies in the forex market to hedge accounts. Councilor strategy depends on the trade regime. Trade...
The expert system analyzes the local trend and expects the price rollback recorded against the trend. period of history to find a trend and a rollback is defined in the settings, the settings allow you to specify certain options for purchases and sales. The expert does not use any gaps of time in history, running at full historical database. Expert uses principles Martingale or grid, the maximum number of orders in one direction - the two. For safety purposes, together with virtual Take Profit and Stop Loss, also used by physical harnesses.
The expert system is designed so that ticks do not play a key value. You can conduct tests in any test mode. Modes: in all ticks, ticks on the real, on the checkpoints and the opening price will be as close as possible to each other. This construction is implemented by discretizing active action in one minute. That is no active action (except belay stops) may be made in the body minutes active the action takes place on the opening prices.
Note:
Expert at work uses accounting positions in the netting mode (one character can have only one position). Expertdoes not work at independent accounting positions (hedging, when one character can be several positions). When tested on a demo account you need to choose account without hedging. Also taken into consideration when opening an account for real work.
recommendations
Rating of currency pairs for the expert system: EURUSD; USDJPY; AUDUSD; EURGBP; USDCAD; GBPUSD; EURJPY; USDCHF; USDJPY.
for correct optimization must be left switched on only one direction (buy or sell). Optimize 1 year, the parameter Custom.
The first message in the discussion provided the template files for optimization buy and sell. And examples of ready optimizations for different currency pairs. An important rule when optimizing the cut set at 5% loss, while the results in the optimization, select the result from the drawdown of up to 5%. And to work to change the settings and set the maximum drawdown of 20%, as the market is unpredictable and this time will take into account the unpredictability of the market.
To test the use of server access.metatrader5.com:443 (there is a complete story), to test the instructions given in the figure.
Options
The following are the parameters that define the operation modes experts (in general):
NameSettings - Allows you to specify the name of the setting.
SelfPeriod - Set the time for the work of an expert.
WorkOpeningPrices - Enables sampling of active operations of the opening prices.
TrailingOpeningPrices - samples the trailing stop (Open prices).
LotDigits - Rounding for lot (2-0.01, 1-0.1, 0-1.0).
Risk - Sets the item, depending on the deposit ($ 1,000 at Risk = 1000 Lot 0.01 (at LotDigits = 2)).
Lot - Sets the volume of the position, if the field is greater than zero then the Lot Risk option does not work.
MulLotLimit - Limiting the maximum lot (relative to the start time).
Drawdown - Virtual Stop Loss,% the balance (drawdown of Drugs), wherein the order is closed.
Personalized settings, which are different numbers in the end (for the number of currency pairs) and an indication of the buy and sell:
SpeedControl - Enables or disables control of the spread, which is defined in LimitAvgSpread parameter.
LimitAvgSpread - It is necessary to specify the average spread multiplied by 2 for the correct operation of the expert **.
On - Enables or disables the block (on the symbol and the direction to buy or sell)
Inversion - Sets the direction of the false - in the channel, true - with the trend (effectively in the channel).
MulLotBuy - Modifier lot to shock deal.
* StepToo - Step for issuing a shock deal. [140-10-600] **
* LengthLine - The number of bars for the analysis of kickbacks. [50-10-400]
* MulTrend - How many times the number of bars to determine the trend more than the number of bars for the analysis of kickbacks. [5.1.21]
TakeProfitReal - Take Profit -. Real **
* TakeProfitVirtual - Take Profit - virtual. [0.01-0.01-0.2]
StopLossReal - Stop Loss -. Real **
StopLossVirtual - Stop Loss - virtual.
BreakevenReal - bezubytka level -. Real **
TrailingStartReal - Trailing start -. Real **
MulTrailingStopReal - Multiplier for the trailing stop-start relative to the trailing **.
* MinAngle- The minimum level of inclination of the trend line ** [100-10-500].
* maxAngle - The maximum level of the slope of the trend line. [1000-100-3000]
* The parameters that need to be optimized, as well as the boundaries for optimization.
** All fields are related to the price quoted in pips (5-digit quotations).
Exp TickSniper FULL This expert is able to capture the rapid movement quotes and currency pair open transaction in the direction of movement. All the...
Advisor is designed to only trade currencies in the forex market to hedge accounts.
Councilor strategy depends on the trade regime.
Trade mode - you can select "Weekly" or "Daily". This means that the trade cycle is limited to a week or one day.
Lot size - the size of the permanent lot. Set manually.
The bar number of open positions - the bar room from the beginning of the selected trading period for opening or Stop-Limit orders. If selected trade Weekly, the bar is taken into account H4 period. If selected trade Daily, it is taken into account H1.
The closing hour of trade - the closing hour of trade, should be set taking into account the fact that the adviser will close all the remaining positions and remove all of its pending orders 15 minutes before the appointed hour.
Reverse trade - if set to false, will use Limit-warrant, and if true, the Stop-orders.
Period Average True Range - ATR indicator period. The indicator value is taken into account only if the option Reverse trade is exposed to false.
Indent from High & Low - indent from the High and Low of the last closed bar. This value is only taken into account if the option Reverse trade is exposed to true.
Take profit - at 0 Take Profit is not placed. Positions are closed at the appointed parameter The closing hour of trade time. Take profit if the value is greater than zero, then take profit is placed at a specified distance from the opposite order (note Fig. 3). If selected during the trading period (day or week) the price is not reached the take profit, then a counselor in the specified time will close all positions and delete all orders.
Trailing - if false will only be breakeven. When true trailing stages will be equal to the distance between BuyLimit and SellLimit-orders. The Reverse trade regime is only translating to breakeven.
Slippage breakeven - margin for slippage in the closing position of the foot in bezubytka.
Magic number - I hope that this option does not require additional comments.
So, the strategy of using the default settings:
On Monday, at the opening of the bar 4-8 hours exhibited two orders,
BuyLimit distance values below ATR indicator Low closed down bar
SellLimit at a distance above the indicator value ATR High closed down bar.
At the time of activation of one of them, nothing happens, and at the time of activation of the second to the first set a stop-loss to breakeven. If the price reversed and closed for the first bezubytka, the second also put a stop-loss to breakeven.
It is possible to intervene in the work of the adviser and manually close any open positions, or remove any of the pending orders only if you think that further retention will reduce the profit or increase the loss.
Break Price Channel Martingale Expert Break Price Channel Martingale . Here is a brief description. A more detailed description can be found on my blog...
News Trader Pro Demo MT5 News Trader Pro - unique robot allows you to trade on the news of your strategy. It loads all the news from several popular...
COSMOS4U MACD converts a powerful trading system using the optimum parameters. This system is used in the EA AdMACD for the Metatrader trading platform. The user can configure the system using the input parameters to achieve maximum performance. Classic MACD provides signals to buy and sell according to the configuration 12 = fast, slow = 26 and signal = 9. AdMACD buys and sells the same way as the classic MACD, with the additional possibility to modify the parameters of fast, slow and signal lines. Advisor also has a stop-levels. Research COSMOS4U department publishes weekly recommended settings for popular currency pairs of the Forex market, the timeframe for the H1. The method of calculating these parameters is part of the research and in no way guarantees consistently profitable results.
Features
Trades as custom MACD
Full control of risks
Management of collateral
Take profit on the basis of a more rapid signal
Stop loss based symbol oscillations
Support for Multi-market work
Support for all timeframes
Closed on weekends
Optimal parameters of COSMOS4U
Opening and turning positions
Regardless of whether an open position, AdMACD be traded based on the comparison values and MACD signal. If the MACD crosses the signal position will be opened only if the value has exceeded the ATR (Average True Range). In this case, the fast transactions are avoided.
Signal line take-profit for more efficiency
signal line parameters - f, s, g / divisor. It should be faster than the signal line (divisor >1). Every time you cross the line and the signal line AdMACD take profit, the system makes a profit, without having to open a new position until the next AdMACD signal.
Stop-Loss
Whenever a position on the symbol adviser checks x (default 24) for determining the values of the oscillations. New border zones are formed for long and short stop-loss based on volatility. When AdMACD crosses the line opposite the stop-loss, the position is closed. The new position will be opened only when the character is greater than the volatility limits zone.
Closing of positions on weekends
It prevents much confusion and gaps between the closing price on Friday and the opening price on Monday, when governments, central banks and management companies announce important decisions for the weekend. COSMOS4U AdMACD supports regulation of automated closing of open positions for some time before the market closes. In addition, positions are opened on Monday a few hours after the opening of markets.
management of funds
With the built-AdMACD automated trading system, you can control the percentage of your entire investment capital through the installation of a certain percentage of investment on one character. Consequently, the percentage of investment in the character can be diversified. percentage of the investment management function, along with the diversification of your portfolio to protect your investments against market risk.
diversification
Professional trading system AdMACD allows the portfolio management of financial instruments. By selecting currency, shares, CFD, metals and energy, your portfolio will be diversified and the risk is distributed. Thus, you can beat the market, opening positions on the various characters.
Management Multi-market work
Download utility AdMACD configuration from the official site COSMOS4U and update with the latest MetaTrader optimal settings for each supported character. AdMACD update system will always support the version of the program to date, saving you time. She updates all supported characters directly in your profile.
Free optimal parameters
The recommended optimal setting AdMACD obtained COSMOS4U research department. Every weekend research group publishes AdMACD recommended settings for the time (H1) timeframe for any selected symbols. Using these parameters and downloading the free app, you can automatically update AdMACD parameters in MetaTrader 4 and 5 and to be always updated with the latest settings.
settings
Fast Moving average: Number of bars to calculate the faster moving average.
Slow Moving average: Number of bars to calculate the slow moving average.
Signal Moving average: The number of bars for the calculation of the moving average signal.
Time Interval: Setting the timeframe
Risk%: The percentage of risk capital
Free margin Threshold: The minimum value of available funds above 100%
Enable weekend close position: Enabling the automatic closing feature positions
Hour post market opening: The number of hours after the opening of the market for the conclusion of the first transaction in the new week
Hour prior market closing: The number of hours before the market closes for the automatic closing of positions function
News Trader Pro Demo MT5 News Trader Pro - unique robot allows you to trade on the news of your strategy. It loads all the news from several popular...
Professional robot, which implemented trading strategy using neural networks. Used fully connected multilayer feedforward network MLP (multilayer perceptron). BotNeyron development project. Externally, the expert user is not very different from its predecessor, it changed the internal configuration of the neural network, which is aimed at forecasting over longer periods of time. Added options for MonoInversion, which simplifies the internal structure of the neural network. Examples of settings for different structures in the form of files with the extension ".set" provided in the discussions. All information relating to the previous expert BotNeyron, suited to this expert.
Note:
Expert at work uses accounting positions in the netting mode (one character can have only one position). Expert does not work with independent accounting positions (hedging, when one character can be several positions). When tested on a demo account you need to choose an account without hedging. Also, consider this fact when opening an account for the real work.
Options:
PeriodWork - working period of the expert system.
Risk - The risk (calculation of the lot of the deposit).
LotRounding - Rounding out the lot.
Deviation - slippage.
Sleeps - waiting before retrying the order opening.
StopLoss - Stop-loss.
TakeProfit - Take Profit.
PeriodTrailing - Period to control the trailing stop.
TrailingBreakeven - zero-loss level.
TrailingStart - Trailing start.
TrailingStop - Trailing Stop.
PeriodTrailingStep - step period trailing stop.
ProhibitNewSeries - Allows you to close the series and do not open a new one.
WorkOpenLong - Allows you to open a long position.
WorkOpenShort - Allows you to open a short position.
WorkCloseLong - Allows you to close long positions.
WorkCloseShort - Allows you to close short positions.
WorkCloseReversLong - Allows you to close a long position when opening brief.
WorkCloseReversShort - Allows you to close a short position at the opening of the long.
SignalBar - The main signal bar.
PeriodSignal - The period in which indicators work, and, respectively, and the neural network.
TypeDual - Switch mode neural network with 2 or 4 outputs.
MonoInversion - Simplifies the internal structure of the neural network.
LevelInLong - entry threshold of the neural network for a long position.
LevelOutLong - neural network output threshold for a long position.
LevelInShort - entry threshold of the neural network for a short position.
LevelOutShort - neural network output threshold for a short position.
EnabledRSI - Activation of the RSI indicator.
k1_RSI_long - Coefficient of influence of the RSI indicator on the total signal for a long position.
k1_RSI_short - Coefficient of influence of the RSI indicator on the total signal for a short position.
Period1_RSI - RSI indicator period.
Layer_1AL - Setting up a neural network for a long position on the RSI indicator.
Layer_1BL - Setting up a neural network for a long position on the RSI indicator.
Layer_1AS - Setting up a neural network for a short position on the RSI indicator.
Layer_1BS - Setting up a neural network for a short position on the RSI indicator.
EnabledCCI - Activation of the CCI.
k2_CCI_long - Coefficient of influence of CCI on the total signal for a long position.
k2_CCI_short - Coefficient of influence of CCI on the total signal for a short position.
Period2_CCI - Period indicator CCI.
Layer_2AL - Setting up a neural network for a long position on the CCI indicator.
Layer_2BL - Setting up a neural network for a long position on the CCI indicator.
Layer_2AS - Setting up a neural network for a short position on the CCI indicator.
Layer_2BS - Setting up a neural network for a short position on the CCI indicator.
EnabledWPR - Activation indicator WPR.
k3_WPR_long - Coefficient of influence WPR indicator on the total signal for a long position.
k3_WPR_short - Coefficient of influence WPR indicator on the total signal for a short position.
DualDeviationChannel Professional robot, which implements the channel trading strategy StandardDeviationChannel. The signal generated by the rebound...
ENS Pilot - is Another version of the trading robot from the company "Welcome to profit" for MetaTrader 5, which combines a finely matched technical analysis methods and control Artificial Intelligence.
The basis of the developed system is based on more complex models of neural networks, united in ensemble, which allowed to create a system based on taking a group of the final decision, and that Remarkably, this has led to significant changes as forecasts compared to the same Pilot v1.00.
In general, the system also It is not a set of strict rules and methodology for analyzing input data (time prices and volumes of the series) in order to identify patterns. distinctive feature such an algorithm - the possibility of rapid "adjustment" under the current market situation.
The system is fully automated, ready-made to work and does not require any configuration. Training a neural network conducted on a special sample of data from January 2008 to May 2014, therefore, demonstration testing of the system was conducted on May 1, 2014 to date.
Conventionally, the algorithm can be divided into several stages:
Formation of the input data sets for each of the indicators used with a fixed window of the historic deepening;
Subsequent supply of the inputs of the neural network ensembles;
Data processing and obtaining independent groups output signals from each network;
Post processing the output data using the group decision rules;
Group decision making buy / sell / out (buy - go long, sell - go short, out - do not do anything)
Features:
The recommended type of account: Any
The size spread: Strategy Trade is not a scalper, on the size of the spread does not matter
quotes: 5 decimal places
Time order execution: The system is not sensitive to the speed of execution orders, as set in the medium-term trading
Shoulder: 1: 100
quotes: EURUSD
timeframe: H1
Distinctive features of the Pilot:
Laid more complex neural network model;
Differences in the style of doing business, which led to an improvement in many indicators (see screenshots.);
Improving the quality of decision making in conditions of high market volatility;
Now, trading robot - the system of independent experts.
Settings panel has only 2 components:
A method for determining lot size (fixed /% of balance)
Value (when fixed lot - number lots / when choosing% of the balance -%)
Trade is conducted without a stoploss and takeprofit, because they can prevent the correct operation of the neural network.
Recommendations to improve results and reduce risks:
recommended disable adviser for 15 minutes before leaving the most influential news (so fundamental analysis does not exist in this version of the robot) recommended pause interval in trade since the release of news: 2 hours;
Using the percent volume of the capital, or fixed lot can be changed depending on the current state market (with high volatility in the fixed-auction, during quiet market, the percentage of capital);
We recommend a parameter optimization: lot size.
Please note that increasing the profit increase trading risks!
Recommended use:
It is not supported by the opening / closing of the transactions hand, when the robot (necessary for correct operation neural network unit);
It is not recommended to increase the amount of open warrants;
It is recommended to leave an open warrant for weekends only, taking into account the impact of the news release not later working day.
We do not recommend testing the robot on data from 01.01.2008 to 5.1.2014, as certain sections of the story are in training sample. Such testing will be incorrect.
For comparing the operation of this trading robot with counterparts offer even download one of our software solution production - Pilot, and select the most suitable product for you.
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Gfx EJ Volbo Advisor for serious traders and patient. The product is based on the breakthrough volatility system (volatility breakout system), following...
Advisor for serious traders and patient. The product is based on the breakthrough volatility system (volatility breakout system), following the trend, and trades EURJPY. Even taking into account the fact that the results in the past do not guarantee income in the future, we believe that this system significantly declines the odds in your favor:
price action system (price action system) with one indicator (ATR is used for measuring the volatility).
The positive ratio of profit to risk (average profitable trade / losing trade average = 184/138 = 1.33).
odds - 56%: it is easier to trade psychologically.
Excellent profit factor (net profit / drawdown makismalnaya = 10.07). Works well in mixed-mode (compounding mode).
Reliable: during the optimization parameter combinations 96% (691/720) were profitable (see figure 3.).
High earning potential (45 $ / 1 mini lots). Advisor less sensitive to the spread and can be used with any broker.
259 trades over 5 years (50 trades per year). Test results on the history statistically significant.
For each trade set stop loss. You can safely go about their business as long as the adviser does the work for you.
The minimum initial capital - only $ 250 for micro accounts ($ 500 - a more conservative figure).
Some characteristics:
Compatible with ECN. 4/5-digits quotes.
Without hedging.
Without martingale and refills to a losing position.
One item per week. The position is always closed before the weekend.
The maximum duration of the drawdown was 8 months for a period of 5 years. However, the drawdown was justified. For profit must be patient.
Two mixed algorithm (compounding algorithms): 1 = fixed risk; 2 = fixed margin. This is the main advantage of the adviser. The mixing is accompanied by large changes equity (large equity swing). Figure 4 shows a profit in mixed mode for 5 years with a starting capital of $ 1000.
With these parameters effectively adviser working on 14 currency pairs 24. Some of the currency pair in particular are often found in the trend, whereas others return to the mean value (see. Figure 5).
Exp TickSniper FULL This expert is able to capture the rapid movement quotes and currency pair open transaction in the direction of movement. All the...
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Advisor is designed to trade on real accounts of MT5 platform. In the EA trading strategy is implemented with the trend. Opening position occurs market order MACD alarm indicator after closing the candle 2 timeframe (TF2). The direction of trend determined by the signal indicator MACD after closing the candle in timeframe 1 (TF1). It is also possible to open a position without regard to the direction of the trend using the function position reversal signal on the reverse. Advisor capable of working on all instruments MT5, at all time frames and with any value of the spread.
The peculiarity of the strategy is the ability to differentially open position (by parts) individual transactions whose volume can decrease or increase with each new transaction depending on the volume factor. This feature significantly reduces the risk and increases the efficiency of trade and leads to a profit even when the price is directed against the position. The adviser has the opportunity to open a position after a certain date and time the position is closed at a certain date and time; increase in the open position; inversion signals; control expansion spread (spread may increase not more than the set value). Is a function of selecting the method of order execution. The advisor provides all important options support the open position: the choice of real or virtual orders Stop Loss, Trailing Stop Loss and Take Profit; control minimum margin level at which position will be closed in part or in full.
The screenshots provided work for the period 2015.01.01 - 2015.06.10. The default settings are used timeframes W1-H1, stop-loss level is limited to the control of the minimum margin. MM = (0.01 + 0.02 + 0.04) * 1250 * 1.5 = 131.25, 303.51 profit% minimum margin 590.21%.
The list of external parameters adviser.
StartDate - start date D1 works
StartTime - start time in D1
StopDate - Date of completion D2
StopTime - stop time in D2
UseInversion (false / true) - change the value of the signal on opposite
UseTimeFrames1 (false / true) - take into account the direction of the trend on TF1
TimeFrames1 - TF1
TimeFrames2 - TF2
Lots - the initial amount to open positions
PeriodFastEma - a period of rapid EMA
PeriodSlowEma - a period of slow EMA
PeriodSignalSma - period SMA
PriceMacd - price constant
UseMacdHighLowZero (false / true) - MACD intersection on TF2 above or below zero
UseOpenLong (false / true) - Only Long
UseOpenShort (false / true) - Only Short
DistanceAvr -% minimum distance between transactions for differential. opening position
LotsFactor - factor of the next trade volume
LimitAvr - the number of transactions
NumLimitAvr - serial number of the transaction to set the new take-profit
TakeProfitAvrNew - the new value of Take Profit
NumberIncrease - the number of transactions to increase the position
StepIncrease - minimum distance between transactions%
VolumeIncrease - the volume of transactions
UseCandleCloseIncrease (false / true) - signal in a closed candle
UseCloseTimeFrames1 (false / true) - closing position feedback signals on TF1
UseCloseTimeFrames2 (false / true) - close position signal to reverse TF2
UseLevelProfit (false / true) - take into account the profits Level Profit at the closing position of the reverse signal on TF2 on the last transaction diff. opening position
LevelProfit - minimum profit in% to the closing position of the reverse signal on TF2
UseRealStop (false / true) - apply real stops
StopLoss - Stop Loss in%
TrailingStart - profit level for the installation of the trawl in%
TrailingStop - protective trawl distance from prices in%
UseCandleCloseTrailingStopLoss (false / true) - set the trawl in a closed candle.
TakeProfit - take profit in%
Slippage - Slippage
OrderTypeFilling - order execution method
MarginLevel - the minimum margin level for closing the position
PercentLotsMarginLevel - the percentage of reduction position when the minimum margin level
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PZ Goldfinch Expert Advisor - Mathematics scalper aggressive trading on tick data. It is based on a simple and universal trading strategy that can be applied to any instrument. However, this expert recommended to use only on liquid forex pairs and low spreads.
Trades on the EURUSD, GBPUSD, USDJPY and most other currency pairs!
It has four input parameters (Signal, SL, TS and TP).
It is most effective when tough trading parameters.
About 85% of trades profitable.
The average value PROFT factor exceeds 2.5.
The minimum drawdown.
Advisor is free!
Trade
Tick scalpers are quite dangerous, as the number of factors that could lead to losses large. Changing spreads and reduce slippage expectation each trade, low density ticks from the broker leads to inefficient trade, freeze-level limits your ability to maintain profit, and leads to an unstable compound requotes. Use expert with caution. You must observe the following conditions.
Reliable broker with low spread and stop levels.
Good internet connection.
Good exposure.
backtesting
Trading Advisor uses tick data. Test advisor to M15 in the "Every tick" and adjust the settings.
It is recommended to test this EA on a demo account MetaQuotes.
Efficiency is enhanced if your broker can handle tight trailing stops.
Author
Arturo Lopez Perez, a private investor, speculator, programmer and founder of Point Zero Trading Solutions.
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Input parameters
Period - the number of bars used for analysis;
Lifetime - minimum hold time position in bars;
Mode - Expert mode (0-80);
Fixed Lot - Lot fixed value;
Variable Lot - AC Lot as a percentage of free margin.
The screenshots shows the results of backtesting. Testing was conducted with EURUSD and timeframe M1 in mode, the "Every tick" for the period from 01.07.2013 on 10.12.2013. used fixed lot 0.1 Period value of 60, the value of Lifetime equal to 210, the expert mode 38.
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Input parameters
First MA Period - period of the first indicator;
Second MA Period - period of the second indicator;
Third MA Period - third display period;
MA Method - indicators averaging method;
Mode - Expert mode (0-7);
Fixed Lot - Lot fixed value;
Variable Lot - AC Lot as a percentage of free margin.
The screenshots shows the results of backtesting. Testing was conducted with EURUSD and timeframe M1 in mode, the "Every tick" for the period from 01.07.2013 on 06.07.2013. used fixed item 0.1, during the first indicator 120, the indicator 30 second period, the third period of the indicator 270, the averaging method Simple, 6 expert mode.
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Expert correctly handles the error and works reliably in the market. Expert utilizes basic concepts: breakeven, trawl stop loss and take profit, and the closure at the opposite signal. And an important function - correct calculation of risk. No output function unit lots, the concept of risk used, the stop-loss is required, as measured with respect to the lot allowable losses for a given risk from it. The expert also has a built-in progressive optimization of the sorting function, that is, it is desirable to optimize using the "Custom max" mode, but sort of the maximum balance.
Overview of parameters:
PeriodWork - the period for which the expert works.
Risk - The risk of which enter into the market, is given in percentage of the total losses of the deposit item is determined relative to the stop-loss and allowable losses when the stop-loss.
LotRounding - Rounding lot (before decimal point).
Deviation - re-quotes.
Sleeps - Waiting for the opening, closing or modifying the position.
Withdraw - Virtual withdrawals in the tester as a percentage of the initial deposit (necessary when optimizing a longer period of protection against lots of saturation).
ShowIndicators - Allows you to display indicator on the chart.
StopLoss - Stop-loss.
TakeProfit - Take Profit.
PeriodTrailing - The period that runs trawl.
TrailingBreakeven - Level bezubytka, 0 - off.
TrailingStart - The level of the beginning of the trawl, 0 - off.
TrailingStop - trawl level, 0 - off; trawl paragraphs, the active period of the trawl.
PeriodTrailingStep - Trawl the period.
ProhibitNewSeries - If you want to finish the current position and do not open the following, you need to include this switch (support position before disconnecting the expert).
WorkOpenLong - Permission to open a long position.
WorkOpenShort - Permission to open a short position.
WorkCloseLong - Resolution on the closing of long positions.
WorkCloseShort - Resolution on the closing of short positions.
SignalBar - Bar, which begins with a look at the (1 - the first fully formed bars).
PeriodDeviation - the period for which indicators work.
PeriodSDC- PeriodSDC.
MethodSDC- MethodSDC.
DeviationSDC- DeviationSDC.
Instructions for optimization in standard mode:
It is desirable to optimize use "Custom max" mode, which has a function of a progressive optimization, which can slightly increase the potential forecast. Set time interval equal to the operating period (PeriodWork), this period should be less than any other settings. Set all ticks (or control points), to optimize the speed. Set the desired time interval, and if necessary the striker, if desired. The variant optimization three months and one month of work. setting an example for the optimization provided in the discussions.
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Professional robot ChosenBest, in which It implemented a comprehensive strategy for the work set of indicators work in the channels and oscillators.
channels:
StandardDeviationChannel
SilverChannels
oscillators:
CCI
RSI
The signal is formed from four independent signals. Total the signal must exceed the level LimitSignal, and then allowed to enter the market in the direction indicated. maximum value LimitSignal equally the number of LEDs (4) and can take values from 1 to 4 decimal step. The signal from the indicator can be adjusted independently one from the values of the coefficients (k_SDC, k_Silver, k_CCI, k_RSI), Each which can range from 0.1 to 1 - weight indicator values generally signal. When 0.5 - affects the total signal by 50% with 1 - 100%, with 2 - to 200%. Thus, the resulting signal is formed.
Expert correctly handles the error and works reliably On the market. Working capital of $ 100! It is important to choose a line of work, or the two sides, or only to buy or sell. Also, the signal can be invert. The expert uses the basic concepts: breakeven, trawl and stoploss takeprofit and closure at an opposite signal.
It has an important function - correct calculation of risk. Absent function outputs a single lot, the concept of risk used stoploss It is required, as is counted lot from him regarding allowable losses given risk. Any expert who is optimized without the risk of using fixed lot, will obviously incorrect results. Since when steal up optimization options that will increase the balance in the initial interval history. Then everything is simple, with a large supply balance and working fixed lot, will be able to pass any number of stories! but when This running expert from another location on the history, it is likely drain. Therefore, the concept of risk in the optimization and the work required! In this case Risk works like this: 1 - is the risk loss of 1 percent of the deposit.
The expert also has built-in advanced features optimization of sorting, that is, it is desirable to optimize the using mode "Custom max".
Overview of parameters:
OnOptimizationSharp - Used in the optimization method "Custom max"Accounting for additional Sharpe ratio.
Magic - Magic number, an arbitrary integer.
Work Period - Period on which the expert is working.
Risk - risks that enter the market, is set in percentage of the total loss of the deposit, Lot defined relative stoploss and allowable losses when the stoploss.
LotRounding - Rounding of the lot (before decimal point).
Deviation - re-quotes.
Sleeps - Waiting open, close or modify positions.
Withdraw - Virtual withdrawals in the tester, a percentage of the initial deposit (if needed optimization over a longer period in order to protect from the saturation of the lot).
Trailing Start - level the beginning of the trawl, 0 - off.
Trailing Stop - level I trawl 0 - off trawl paragraphs, the active period of the trawl.
TrailingStep Period - Trawl the period.
Prohibit new series - If you want to finish the current position, and do not open the following, the You must enable this switch (support position before shutdown expert).
WorkOpenLong - Resolution the opening of the long position.
WorkOpenShort - Permission to open a short position.
WorkCloseLong - Resolution on the closure of long positions.
WorkCloseShort - Resolution on the closing of short positions.
Inversion - Inverting input signal.
SignalBar - Bar, which begins with a look at the (1 - the first fully formed bar).
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gap - the emergence of "gap" between quotations Friday's closing and opening of quotations Monday.
When the gap on Monday the deal will be open on the currency pair, where the maximum gap. The transaction will be opened if the GAP More porog_gap threshold.
Perhaps the opening of the second additional transaction while driving prices in the opposite direction by an amount greater porog_otl.
Transactions are closed by stop loss, take profit or occurrence of certain conditions.
Default used major currency pairs: EURUSD, GBPUSD, EURGBP, USDCHF, EURCHF, USDJPY, EURJPY, USDCAD, AUDUSD, NZDUSD.
You can use up to 10 currency pairs.
settings for 5-digit account:
HOUR_START - hour opening of trading on Monday (default 0).
EA PENDING ORDER risk Advisor pending orders The operating principle of the adviser is quite simple and concise. Limit orders Advisor (Expert Pending...
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The operating principle of the adviser is quite simple and concise.
Limit orders Advisor (Expert Pending Order risk) puts two pending orders BUYSTOP and SELLSTOP on the trader's choice or at a predetermined distance or a distance equal to the arithmetic average height of the last bars (or at the minimum allowed distance) from the current price. The Expert presents two options Lot: fixed and percentage (FixLot if the parameter is zero, the calculation performed on Lot Risk - exposure as a percentage of the deposit). Advisor exposes the order of seconds before closing said candle (TimeStart parameter) and after predetermined seconds after the opening of a new spark triggered removes not warrant (TimeEnd parameter). It works on all currency pairs and periods. Pending orders are placed with a predetermined StopLoss and TakeProfit (for zero values of the corresponding setting is disabled). Temporal filter can work around the clock or trading sessions (HourStart - hour start issuing orders and HourEnd - hour graduation work advisor).
Closes order:
TakeProfit
Profit (fixed percentage of the total profit sheet)
LossControl (StopLoss transferred as soon as possible, if the profit on the transaction in the currency pair is a non-negative)
TrailingStop
Optimally for the strategy - establish an expert on the charts with the period of the M5 or M15 multiple currency pairs (optimize for the last two weeks of the parameters for each pair) and TakeProfit will be. But never forget that all existing robots are only for semi-automatic operation of the trader.
Options
PERIOD - working timeframe advisor
FixLot - fixed lot; If zero, then the calculation is made on the lot Risk
RISK - exposure in% of the deposit (0 to 100)
Magic - identifier orders and positions advisor
HourStar - hour start issuing orders advisor
HourEnd - hour late issuing orders advisor
Profit - a percentage of the total balance profit
StopLoss - size stop-loss, if 0 - Disabled corresponding parameter
TakeProfit of - the size of the take profit, if 0 - disable the corresponding option
DeltaPips - the amount of indentation from the current price to place a pending order, if 0, the calculation of DeltaBar
DeltaBar - number of last candles to calculate the arithmetic average height, used to indent the current price
TimeStart - the number of seconds before the close of the candle
TimeEnd - the number of seconds after the opening of a new candle, after which the judge will remove not triggered orders
LossControl - transfer StopLoss (if the profit on the transaction in the currency pair is a non-negative) at the earliest opportunity, if false - disabled
BUStart - the amount of profit in points for the transfer StopLoss
sizeBU - bezubytka point size
TrailingStop - trailing stop
TrailingStart - profit margins to begin TrailingStop (in points)
TrailingDist - TrailingStop distance from the current price (in points)
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Signals used for forming a modified Price Channel Indicator (MultiRange_PCH). All operations are carried out on formed bars current timeframe. Link to download the indicator at the end of the description.
In this version, the expert added to the possibility of the protective level Stop Loss in bezubytka zone. It is also possible to include a function of controlling the volume of positions such as the Martingale, where in the case of a losing trade should be opened with the volume of unprofitable transactions multiplied by the specified parameters in the external factor.
The expert can be used in semi-automatic trading. The position can be opened manually, and to provide expert support positions. Since trade Martingale method can be dangerous, the position can be closed manually when the current income over past losses.
List of expert settings:
Indicator Period - indicator period MultiRange_PCH.
Mode Break - breakdown mode. It is possible to install the sample into the channel (BREAK IN) and out channel (BREAK OUT).
Take Profit - distance in points from the entry point to the level of profit-taking. If you set a value of zero, the level of profit will not be installed.
Stop Loss - distance in points from the entry point for the protective layer. If you set a value of zero, then the security level will be established.
Trailing Stop - a step in the points for the modification of the protective layer toward profit. The level is calculated from the highs (High) for Sell positions and lows from (Low) for Buy positions. If you set a value of zero, then modification of the protective layer will not be made.
Reverse - in this parameter, you can specify whether to use the position reverse, if there is a signal in the opposite direction.
Break Even Stop Loss - distance, in points, which must pass the price to install Stop Loss to breakeven. A value of zero disables this feature.
Break Even Offset - distance, in points, on which will be installed Stop Loss bezubytka in the region with respect to the current price position.
Lot - volume of position.
Martingale Coefficient - with a losing position will be opened next multiplying by this factor. If the value is less than or equal to 1, the volume equal to the specified positions in the parameter Lot.
Initial Deposit - This parameter is used to define which the value of the deposit size to include dynamic analysis of the lot to open position. Thus, the volume of open positions will be proportional The deposit amount, which allows the expert to increase faster profit. A zero value in this parameter disables the dynamic calculation lot.
Maximum Lot Size - here you need to specify the maximum amount for the open positions. Perhaps, after reaching it is advisable to deposit a certain quantity proportional to stop calculation of the lot. Some traders use such tactics to aggressive acceleration of the deposit, starting with a small amount, then to move into a more conservative mode, not increasing risks for the growth of deposit.
Conditions:
to the opening position signal is considered true if the following conditions are fulfilled (an example of a breakdown of the channel):
For positions BUY:
The intersection of the upper boundary of the channel upward.
For the position SELL:
Crossing the bottom of the channel down.
In this mode (BREAK OUT) output from SELL position is performed, if the price crosses the middle channel up or Stop Loss/Take Profit.
In this mode (BREAK OUT) output from BUY position is performed, if the price crosses the channel down the middle or Stop Loss/Take Profit.
Additional parameters and features:
In the expert, there are two additional options:
On / Off Info Panel - turns on / off information and trading on the chart panel.
Setting "On The Fly" - setting ( "on the fly") enables / disables control parameters online trading panel.
On the different symbols (graphics) can be placed various experts in this series, and they will not interfere with each other.
Download links:
Modified Indicator Price Channel - MultiRange_PCH (should be placed in a directory \ MQL5 \ Indicators and compile).
Here's one expert testing results Break Bollinger Bands Martingale. It is possible to use custom criteria to optimize the parameters (Custom Max). The formula I'm not going to disclose.
The same result can be a 6-hour (H6) timeframe, the symbol EURUSD, the default settings.
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