Tamil_Forexx
New Member
Hi all!
I share my development: Ilan Dynamic Deluxe.
Trades intraday: M5 - H1;
Auto calculation for 5-digit quotes!
Works at opening prices!
Works also in Market Execution.
1. The trading algorithm has been completely redesigned. The Expert Advisor clearly understands what phase it is in (Trend, Flat, Uncertainty).
This was Ilan's main problem when he could gain positions against the trend.
2. Now the daily ATR and volatility on the working timeframe are taken into account to calculate the trailing (profit, stop): M5 - H1;
3. Removed the averaging take profit for a series of open orders. Now they always work on the averaging Trailing.
4. Removed the useless RSI indicator. Added a filter by CCI, taking into account the market phase (flat, trend and its reverse).
5. Since trading is carried out within the day, a filter by time has been added: start hour, end hour. All orders are closed at the end hour every day.
6. Added filter by maximum spread.
7. Added classic MM (% of investment balance).
8. It can work both without martin and in martin mode:
- arithmetic progression
- geometric progression
PS The basis of the adviser is not Martin, but a clear definition of the market phase.
9. Clearly controls its drawdown through the total_equity_risk parameter. If it is reached, it stops the work and requires further optimization and restart in the terminal.
Important! You will not be able to drain your deposit stupidly with the 1st transaction or a series of transactions.
10. One of the most important functions is the optimization mode by the Custom parameter. Which with a probability of 70% allows you to cut off illiquid options for settings for the forward.
Recovery factor, Sharpe ratio, mathematical expectation are taken into account.
I share my development: Ilan Dynamic Deluxe.
Trades intraday: M5 - H1;
Auto calculation for 5-digit quotes!
Works at opening prices!
Works also in Market Execution.
1. The trading algorithm has been completely redesigned. The Expert Advisor clearly understands what phase it is in (Trend, Flat, Uncertainty).
This was Ilan's main problem when he could gain positions against the trend.
2. Now the daily ATR and volatility on the working timeframe are taken into account to calculate the trailing (profit, stop): M5 - H1;
3. Removed the averaging take profit for a series of open orders. Now they always work on the averaging Trailing.
4. Removed the useless RSI indicator. Added a filter by CCI, taking into account the market phase (flat, trend and its reverse).
5. Since trading is carried out within the day, a filter by time has been added: start hour, end hour. All orders are closed at the end hour every day.
6. Added filter by maximum spread.
7. Added classic MM (% of investment balance).
8. It can work both without martin and in martin mode:
- arithmetic progression
- geometric progression
PS The basis of the adviser is not Martin, but a clear definition of the market phase.
9. Clearly controls its drawdown through the total_equity_risk parameter. If it is reached, it stops the work and requires further optimization and restart in the terminal.
Important! You will not be able to drain your deposit stupidly with the 1st transaction or a series of transactions.
10. One of the most important functions is the optimization mode by the Custom parameter. Which with a probability of 70% allows you to cut off illiquid options for settings for the forward.
Recovery factor, Sharpe ratio, mathematical expectation are taken into account.