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this is the Journal:
2013.10.18 15:35:42 2013.05.20 00:06:02 failed instant sell 3.00 EURUSD at 1.28444
2013.10.18 15:35:42 2013.05.20 00:06:01 failed instant sell 3.00 EURUSD at 1.28445
2013.10.18 15:35:42 2013.05.20 00:06:00 close sell
2013.10.18 15:35:42 2013.05.20 00:06:00 order performed buy 3.00 at 1.28483 [#3 buy 3.00 EURUSD at 1.28483]
2013.10.18 15:35:42 2013.05.20 00:06:00 deal performed [#3 buy 3.00 EURUSD at 1.28483]
2013.10.18 15:35:42 2013.05.20 00:06:00 deal #3 buy 3.00 EURUSD at 1.28483 done (based on order #3)
2013.10.18 15:35:42 2013.05.20 00:06:00 instant buy 3.00 EURUSD at 1.28483 (1.28444 / 1.28483 / 1.28444)
2013.10.18 15:35:42 2013.05.20 00:06:00 price corrected from 1.28444 to 1.28483, deviation: 10000 (instant buy 3.00 EURUSD at 1.28444)(1.28444 / 1.28483 / 1.28444)
2013.10.18 15:35:42 2013.05.20 00:05:59 order performed sell 3.00 at 1.28444 [#2 sell 3.00 EURUSD at 1.28444]
2013.10.18 15:35:42 2013.05.20 00:05:59 deal performed [#2 sell 3.00 EURUSD at 1.28444]
2013.10.18 15:35:42 2013.05.20 00:05:59 deal #2 sell 3.00 EURUSD at 1.28444 done (based on order #2)
2013.10.18 15:35:42 2013.05.20 00:05:59 instant sell 3.00 EURUSD at 1.28444 (1.28444 / 1.28472 / 1.28444)Doc
I can not compile the EA (getting error "can not open mql4_Lib.mqh" include file). Can you post that file too?
Doc I can not compile the EA (getting error "can not open mql4_Lib.mqh" include file). Can you post that file too?
here we go...but it's only for the time filter (scantrades is not used)
here we go...but it's only for the time filter (scantrades is not used)
Doc
Try adding these lines :
OpenSellSignal = 0;
CloseBuySignal = 0;
CloseSellSignal = 0;
[/PHP]
In front of this block :
[PHP] if((firstindicator[0]>secondindicator[0])&&(spread<=maxspread)&& timecond && getLastOrderType(_Symbol)!=1) OpenBuySignal = 1;
if((firstindicator[0]<secondindicator[0])&&(spread<=maxspread)&& timecond && getLastOrderType(_Symbol)!=0) OpenSellSignal = 1;
if(((firstindicator[0]<secondindicator[0])&&(spread<=maxspread))) CloseBuySignal = 1;
if(((firstindicator[0]>secondindicator[0])&&(spread<=maxspread))) CloseSellSignal = 1;
Those variables should be cleaned up on each tick (otherwise they could have a state from some time ago and they could cause an error)
Doc
Try adding these lines :
OpenSellSignal = 0;
CloseBuySignal = 0;
CloseSellSignal = 0;
[/PHP]
In front of this block :
[PHP] if((firstindicator[0]>secondindicator[0])&&(spread<=maxspread)&& timecond && getLastOrderType(_Symbol)!=1) OpenBuySignal = 1;
if((firstindicator[0]<secondindicator[0])&&(spread<=maxspread)&& timecond && getLastOrderType(_Symbol)!=0) OpenSellSignal = 1;
if(((firstindicator[0]<secondindicator[0])&&(spread<=maxspread))) CloseBuySignal = 1;
if(((firstindicator[0]>secondindicator[0])&&(spread<=maxspread))) CloseSellSignal = 1;
OK
the first problem seems gone, but I got again this other one:
2013.10.18 16:17:22 2013.05.20 01:00:42 failed instant buy 3.01 EURUSD at 1.28342
OK
the first problem seems gone, but I got again this other one:
2013.10.18 16:17:22 2013.05.20 01:00:42 failed instant buy 3.01 EURUSD at 1.28342
Doc
Try rounding (normalizing) the lot size. Something like this :
if (lot_min==0.01) lots = NormalizeDouble(0.0001*LotsPct*AccountInfoDouble(ACCOUNT_BALANCE),2);
if (lot_min==0.1) lots = NormalizeDouble(0.0001*LotsPct*AccountInfoDouble(ACCOUNT_BALANCE),1);
Doc
Try rounding (normalizing) the lot size. Something like this :
if (lot_min==0.01) lots = NormalizeDouble(0.0001*LotsPct*AccountInfoDouble(ACCOUNT_BALANCE),2);
if (lot_min==0.1) lots = NormalizeDouble(0.0001*LotsPct*AccountInfoDouble(ACCOUNT_BALANCE),1);
Mladen,
thanks to you, everything looks good now!
just another thing...I saw the ea waiting 1 tick from close 1 deal to open a new one...do you know a trick to make ea able to close and open a new position (when this happen) in the same moment?
Doc,
As far as I know it can not be done
Doc, As far as I know it can not be done
so bad
Mladen,
I got again a problem...as you can see here, the ea close the first deal of 1 lot with 3 lots. I don't have any martingale so how is it possible?
2013.10.18 18:17:43 2013.09.05 09:44:37 close sell
2013.10.18 18:17:43 2013.09.05 09:44:37 order performed buy 3.00 at 1.31770 [#3 buy 3.00 EURUSD at 1.31770]
2013.10.18 18:17:43 2013.09.05 09:44:37 deal performed [#3 buy 3.00 EURUSD at 1.31770]
2013.10.18 18:17:43 2013.09.05 09:44:37 deal #3 buy 3.00 EURUSD at 1.31770 done (based on order #3)
2013.10.18 18:17:43 2013.09.05 09:44:37 instant buy 3.00 EURUSD at 1.31770 (1.31763 / 1.31770 / 1.31763)
2013.10.18 18:17:43 2013.09.05 09:44:37 price corrected from 1.31902 to 1.31770, deviation: 10000 (instant buy 3.00 EURUSD at 1.31902)(1.31763 / 1.31770 / 1.31763)
2013.10.18 18:07:46 2013.09.05 04:43:59 order performed sell 1.00 at 1.31902 [#2 sell 1.00 EURUSD at 1.31902]
2013.10.18 18:07:46 2013.09.05 04:43:59 deal performed [#2 sell 1.00 EURUSD at 1.31902]
2013.10.18 18:07:46 2013.09.05 04:43:59 deal #2 sell 1.00 EURUSD at 1.31902 done (based on order #2)
2013.10.18 18:07:46 2013.09.05 04:43:59 instantsell 1.00 EURUSD at 1.31902 (1.31902 / 1.31907 / 1.31902)
Mladen,
I got again a problem...as you can see here, the ea close the first deal of 1 lot with 3 lots. I don't have any martingale so how is it possible?
2013.10.18 18:17:43 2013.09.05 09:44:37 close sell
2013.10.18 18:17:43 2013.09.05 09:44:37 order performed buy 3.00 at 1.31770 [#3 buy 3.00 EURUSD at 1.31770]
2013.10.18 18:17:43 2013.09.05 09:44:37 deal performed [#3 buy 3.00 EURUSD at 1.31770]
2013.10.18 18:17:43 2013.09.05 09:44:37 deal #3 buy 3.00 EURUSD at 1.31770 done (based on order #3)
2013.10.18 18:17:43 2013.09.05 09:44:37 instant buy 3.00 EURUSD at 1.31770 (1.31763 / 1.31770 / 1.31763)
2013.10.18 18:17:43 2013.09.05 09:44:37 price corrected from 1.31902 to 1.31770, deviation: 10000 (instant buy 3.00 EURUSD at 1.31902)(1.31763 / 1.31770 / 1.31763)
2013.10.18 18:07:46 2013.09.05 04:43:59 order performed sell 1.00 at 1.31902 [#2 sell 1.00 EURUSD at 1.31902]
2013.10.18 18:07:46 2013.09.05 04:43:59 deal performed [#2 sell 1.00 EURUSD at 1.31902]
2013.10.18 18:07:46 2013.09.05 04:43:59 deal #2 sell 1.00 EURUSD at 1.31902 done (based on order #2)
2013.10.18 18:07:46 2013.09.05 04:43:59 instantsell 1.00 EURUSD at 1.31902 (1.31902 / 1.31907 / 1.31902)Doc
From the code it should not be possible (since your code would open buy only if there is no open position for that symbol) but have to check more