Grid strategy with EMA signal

Trabajo finalizado

Plazo de ejecución 6 días
Comentario del Ejecutor
very nice and kind thank you +++++
Comentario del Cliente
Good Developer - Recommended.

Tarea técnica

Grid EA Strategy

 

Indicators:

1)      Exponential Moving Averages (after candle close)

-          Make in-put lengths for Fast EMA and Slow EMA

2)      RSI (after candle close)

-          Make in-put for the RSI periods

-          Make in-put for determining 1) overbought RSI level and 2) oversold RSI level

-          Include option true/false to include indicator as filters to open new position.

Signal to open position (calculate after candles close)

1)      EMA Signal types (make list to select which signal to use)

1.1)  EMA crossover signal

-          Fast EMA crossover Slow EMA = Open Long

-          Fast EMA crossunder Slow EMA = Open Short

1.2)  Price Over and under both EMA lines

-          Price close above both EMA = Open Long

-          Price close below both EMA = Open Short

1.3)  1 EMA, use only fast EMA

-          Price close above EMA line = Open Long

-          Price close below EMA line = Open short

Filters for opening positions:

Make True/false to choose whether to include filters

1)      After closing position(s), new position cannot be opened after number of candles have been closed

-          Add in-put for number of candles to wait before new position can be opened

2)      RSI level

-          Long position, RSI must not be in the overbought level.

-          Short position, RSI must not be in the oversold level.

Trade Direction:

1)      single direction (does not open additional position/cycle with new signal if there is already a cycle active)

-          Only open 1 type of position until the cycle finish.

Example: if a Long position is opened and a signal for short happen later, the short position will not be opened. The current Long position cycle has to be closed first.

2)      Both directions (A long and short position/cycle can be opened when there is signal, however only 1 cycle of each type can be active)

Grid Strategy

In-puts

1)      Distance to open additional position in both direction: points

2)      Lot multiplier: 1 decimal

3)      Lot size: min as per specification

4)      Group take profit

Types:  total profit in amount or at number of grid distance

 - Total profit amount to close - in-put for the profit target amount

- After Number of grid position opened - in-put number of grid positions opened (maximum 9).

 

Example: grid distance = 200 points, number of grid positions to close all position. Take profit = at 9th grid.  If the price hit all grid line for this setting, 8 positions will be opened and at the 9th grid all positions will be closed to take profit i.e. 200*9 = 1800 points, all the 8 positions opened will be closed.

 

5)      Stop loss/ after opening multiple position and adjust after each position added) for both in the right direction.

First position will have upper and below grid with no stop loss. Stop loss is added from 2nd positions and onward. The stop loss is adjusted when price hit another grid line and new position is added i.e. 3rd, and 4th positions. There is distinction between stop loss for positions in the right direction and wrong direction.

 

I want the stop loss to be adjusted based on the latest position opened in the cycle.

Long position in the right direction = latest position price minus number of points.

Long position in the wrong direction = latest position price plus number of points.

 

Short position in the right direction = latest position price plus number of points.

Short position in the wrong direction = latest position price minus number of points.

 

Price goes in the right direction = when price go in direction of the position opened

 

For the price going in the right direction there must be in-put for each grids level. Since the maximum to close and take profit is 9th grid. There will be 8th stop loss in-put for price going into right direction

 

In-put for price right direction: make It adjustable

Example:

Stop loss 1st grid: last price for the additional positioned opened minus(long)/plus in-put(short) (30 points)

Stop loss 2nd grid:  last price for the additional positioned opened minus(long)/plus in-put (25)

Stop loss 3rd grid:  last price for the additional positioned opened minus(long)/plus in-put (20)

Stop loss 4rd grid:  last price for the additional positioned opened minus(long)/plus in-put (15)

Stop loss 5th grid:  last price for the additional positioned opened minus(long)/plus in-put (10)

Stop loss 6th grid:  last price for the additional positioned opened minus(long)/plus in-put (10)

Stop loss 7th grid:  last price for the additional positioned opened minus(long)/plus in-put (10)

Stop loss 8th grid:  last price for the additional positioned opened minus(long)/plus in-put (5)

 

unlimited grid for price going into wrong direction

 

Example:

 

In-put for the wrong direction:

Stop loss 1st grid: last price for the additional positioned opened minus(short)/plus in-put(long) (30)

Stop loss 2nd grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (25)

Stop loss 3rd grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (20)

Stop loss 4rd grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (15)

Stop loss 5th grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (10)

Stop loss 6th grid:  last price for the additional positioned opened minus(short)/plus in-put(long)  (10)

Stop loss 7th grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (10)

Stop loss 8th grid:  last price for the additional positioned opened minus(short)/plus in-put(long) (5)

Stop loss from 9th and onward:  last price for the additional positioned opened minus(short)/plus in-put(long) (5)


Han respondido

1
Desarrollador 1
Evaluación
(100)
Proyectos
125
23%
Arbitraje
12
0% / 75%
Caducado
22
18%
Libre
2
Desarrollador 2
Evaluación
(2428)
Proyectos
3057
66%
Arbitraje
77
48% / 14%
Caducado
340
11%
Trabaja
3
Desarrollador 3
Evaluación
(140)
Proyectos
205
80%
Arbitraje
18
33% / 44%
Caducado
10
5%
Trabaja
4
Desarrollador 4
Evaluación
(37)
Proyectos
59
27%
Arbitraje
25
20% / 52%
Caducado
10
17%
Trabaja
5
Desarrollador 5
Evaluación
(11)
Proyectos
11
0%
Arbitraje
4
25% / 50%
Caducado
2
18%
Libre
6
Desarrollador 6
Evaluación
(2086)
Proyectos
2646
61%
Arbitraje
113
45% / 26%
Caducado
418
16%
Trabaja
7
Desarrollador 7
Evaluación
(56)
Proyectos
65
6%
Arbitraje
25
20% / 36%
Caducado
4
6%
Trabajando
8
Desarrollador 8
Evaluación
(568)
Proyectos
641
41%
Arbitraje
21
57% / 29%
Caducado
47
7%
Trabaja
9
Desarrollador 9
Evaluación
(119)
Proyectos
169
38%
Arbitraje
9
78% / 22%
Caducado
15
9%
Libre
10
Desarrollador 10
Evaluación
(103)
Proyectos
130
44%
Arbitraje
7
43% / 43%
Caducado
7
5%
Libre
11
Desarrollador 11
Evaluación
(298)
Proyectos
442
64%
Arbitraje
5
40% / 0%
Caducado
4
1%
Trabaja
Solicitudes similares
Hi Developer, I would like to create the Scalping EA based for Mt4 on the investing.com data https://www.investing.com/currencies/eur-usd-technical EA have timing to adjust time to trade. follow the broker time. From starting time to end time EA have a adjustable Lot size (0.01 incremental to 0.01) EA have a adjustable TP (1pip to 100pip incremental 1pip) EA have a adjustable SL (1pip to 100pip incremental 1pip) EA
This is not an EA that actually opens/closes trades. Instead this project involves creating a dashboard where the user can create a grid trade scenario with initial entry and scale trade pip distances, lot sizes for each trade, and draw down amount. It then calculates the break-even + profit level where all trades would close. For each new scale trade the BE+ point is recalculated which is then displayed on the
Hi I have the code in pinescript for an indicator that I need done in Ninja Trader, I wanted this indicator in NT bcs I chart in NT, and if the indicator could also have been an automated strategy even better. Please confirm that it will be an indicator and Automated Trading Strategy
Hi guys I would like to k ow if someone has experience with machine learning models? I would like to train a model to identify if there is a range market or trendy market based on several parameters like EMA and ATR for example. If we use for example a 20 and 50 EMA and we measure the distance between both lines the algo should oearn if the trend is strong or weak. If it‘s steong it keeps trending and if it‘s weak
Hello I need a very simple indicator This indicator should show the highest floating or history drawdown of the account It means that it can display the highest number that the account drawdown to be displayed on the chart in this format max drawdown account(xxxx$$) ...date(00/00/00)time:(00:00) max drawdown currency ..( currency name with max drwadown) . (xxxx$$) date(00/00/00)time:(00:00) thanks
I want have the possibility to increase lotsize not alone by Lot-multiplier rather I want add a fix-lot increase for excample for 0,05 lot. I want have this for buy / sell and hedge-buy and hedge sell
Hello, I‘m interested in an indicator to predict the next candles probability (bullish or bearish). But honestly I have no idea how to do this. Would be interested in your opinion how we can create such an indicator. Please let me know if you‘ve done similar work
Profitable EA HFT 50 - 300 USD
From a long time i am searching for a profitable EA i have lost a lot , and now i have only 300$ to buy a profitable EA , i wish to say with 0 losses but some or most traders they don't want to hear this i am really tired of searching for a programmer to just create me a profitable EA with the least losses or zero losses maybe nearly 1 year i am searching i just need an HFT EA that can work very well on MT4,MT5
у нас есть стратегия, нам нужно написать mql5-код ​​для тестера стратегий МТ5,Цена договорная. Мой контакт @abbosaliyev из Telegram Программист должен знать РУССКИЙ ИЛИ УЗБЕКСКИЙ язык. Задание: разработать тестер, который использует шаблон условий на открытие и проверит весь исторический график на всех доступных таймфреймах. Остальная информация будет предоставлена ​​после согласования цены
New york session based strategy 9:30 open Price takes out buy side or sell side liquidity Usually using 15min high and lows 5m entry Price takes out that high/low and price must close strongly back into the zone Is price is above price we have a sell bias vis versa for buys Sl is at the high or low with option for “offset” for cushion Tp is usually the opposite High or low. Would like the option for set pips-points &

Información sobre el proyecto

Presupuesto
50 - 150 USD
Para el ejecutor
45 - 135 USD
Plazo límite de ejecución
a 10 día(s)