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FrankPro

 Multifunctional universal trading system. Suitable for all Forex and Crypto markets.

.set files are updated weekly, published on our site.
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  FrankPro.ex5[POLYINDICATORS AND AUTOMATIC OPTIMIZATION], a heavy build featuring most of TS_DayTrader Trading System.
An extensive array of tools for manual and automated trading.
For fast optimization capabilities, see Frank.ex5[FOR OPTIMIZATION] - designed specifically for the MT5 Tester.
All builds- FrankPro.ex5, Frankenstein.ex5 and Frank.ex5 have automatic trading capabilities.
Parameters(.set files) for FrankPro.ex5, Frank.ex5 and Frankenstein.ex5 are interchangeable.

  This version can work with Optimizator.ex5 - advisor performing automatic optimization of agents(google it or send us a DM to know more).

  Features Polyindicators module.
Polyindicators create the so-called "Hive-mind". A group of agents is linked together.
The resulting "swarm" of agents uses a collective type of intelligence.
(read more in the Documentation section on our site).

  The Trading System identifies trend movements, reversals and continuations,
tracks horizontal channels, formed by levels of support and resistance(Key Levels), and channel breakouts.
Frankenstein's trading strategy is based on Key Levels coupled with pattern recognition algorithms
looking for 10 classes of patterns - DD, DB, SD, SB, RB, RD, SSD, SSB, BSB, MSB.
These 10 patterns identify trading entry points.

  8 patterns are candle-based patterns tracking specific bursts of volatility.
Once 'triggered' by an active Test Level in the predefined by input parameters environment they produce a signal that is
later processed by a number of TA filters.
 
  2 patterns - BSB and MSB - based on 'Start Bar' signal identified within a Profit Region following a Key Level puncture.
The signals produced by these two patterns are later processed by TA filters as well.

  The Trading System features multiple TA tools:

    - Fractals
    - RSI divergences
    - Trailing system based on Bollinger Bands
    - Technical Pocket(ATR)
    - Test Levels
    - Position Manager
    - TradingTime Manager

  Frankenstein combines these techniques with multiple built-in safety components
(such as: Balance, Equity, Spread, Slippage, Volume, Positions checks)
to form a coherent trading strategy.

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  Manual Trading Mode makes it possible to manually open positions within the Frankenstein EA
trading strategy and use the EA's tools with those positions: Trailing SL and Position Manager.
Automatic risk management makes it a job of two clicks to open a position manually - just click "Manual" and then "Buy".

  Frankenstein agents maintain a database, see the "DATABASE" block of parameters.
An option to output the trading history to the .csv or .txt file.
Each unique instance of Frankenstein EA keeps track of its own trading statistics.
This data can be displayed in the chart window next to EA's controls. Use of unique MAGIC numbers
allows maintaining trading statistics independently for each Frankenstein running.

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  We host a local optimization farm. Working 24/7, it automatically performs optimization of agents, and the results are published weekly.
Download latest .set files, including up-to-date configurations for the Forex and Crypto markets.

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-- About:
---------
 
  Developed by a fellow team of traders/coders with over ten years of cumulative experience.
The trading strategy was tested in real market conditions and proven to be profitable over the years
which has lead to the development of the first version of Frankenstein.

---

Author: Alexey Grebyonkin[RU],
Coder: Viktor Kokotin[RU]

FrankPro 5.05, released on Jul 31 2024.



Documentation(the most essential part of it, the rest is available, write us a message).

Technical Analysis Model

The following article describes TS_DayTrader pattern-based analysis model,
used in Frankenstein EA.
The model is implemented as iFrankenstein.ex5 indicator.

We will describe the model as well as the particular implementation
and most important associated parameters.

This brief presentation is meant to provide
with understanding of the system,
teach how to manage Expert Advisors,
perform optimization of the system and customization of trading strategies.


Framework Overview

The system allows for detection of a range of different patterns.

Pattern models can be complex and consist of multiple elements, the basic elements include:

  1. Key Level
  2. Test Level
  3. Сandle-pattern
  4. Divergence

All four work together to detect a very specific market response:
a reaction to the price breaking out of the horizontal channel, returning to it, then reversing at the specific
level(Test Level) and following again the bigger trend movement.

  • Key Levels identify horizontal channels, the price breaking out of them,
    bouncing within the channel.
  • Test Levels identify price levels at which the price movement is supposed to reverse.
  • 10 candle-based patterns identify specific volatility patterns
    that may signal about a coming reversal. These are trigger-signals.
  • For divergences detection, Relative Strength Index type of indicator is used on different timeframes.

The goal of the system is to trade either the price bouncing between the boundaries of a channel or
the price breaking out of a channel.

A complex pattern model can include different patterns and their combinations, for ex.:

  • Pattern Model, without KeyLevels
  • KeyLevels + Pattern Model
  • KeyLevels + Pattern Model + Test Levels
  • KeyLevels + Pattern Model + Test Levels + Divergences + Technical Pocket
  • Pattern Model + Divergences + Technical Pocket
  • e.t.c...

Fractals

Most of the EA's technical analysis models use C_iFR - Fractals module - as main data input.
EA usually runs multiple C_iFR modules(multiple for each pattern),
each can be individually configured for a specified timeframe.

C_iFR is similar to 'Fractals.ex5' - a well-known MT5 indicator.

To see C_iFR data from the iFrankenstein Engine set 'Show fractal lines(C_iFR)' to true.
Each fractal data point marks a local price extremum - the last local price minimum or the last local price maximum.

In contrast with 'Fractals.ex5', C_iFR can virtualize higher timeframes using the
data from the timeframe of the chart window.
The virtualized timeframe is set with the 'TF for the KeyLevels Fractals' parameter.

Fractal data is used to track the 'channel' of the price.
The price is likely to 'break out' of a channel on higher volumes.
In the Market these channels are created by Orders accumulating
around the last local minimum or the last local maximum of the price.

iFrankenstein uses 'Key Levels' to track, display and trade these channels.


Key Levels

A Key Level is, basically, a horizontal line on a chart drawn from the last known price maximum or minimum
(defined by the last known fractal from the C_iFR).
2 Key Levels form a horizontal channel.

Price often 'bounces' inside such horizontal channel until it 'breaks out' of it.
A lot of trading strategies are based on this understanding of the market mechanics.
This is the most basic yet most important aspect of TA - understanding
the channels and observing how the price action reacts to their formation.

iFrankenstein model defines 2 Key Levels: KLS1 and KLR1.
KLS1 is also known as the 'support' and KLR1 as 'resistance'.

Sometimes reffered to as 'bearish' and 'bullish'.
They are mirror copies of each other.
Both can be used to create signals for BUY and for SELL trades.
A trader acts based on the premise that the price will either "touch" the level, jump from it and reverse,
or puncture it and continue the movement in the same direction as part of a bigger trend
or as a result of high volatility.

Tracking the way the Market reacts to these levels
is the core principle.


Key Support Level(KLS1)

KLS1(a.k.a. KUP1), first and foremost, is associated with the accumulation of BUY orders.
By default, it is drawn as a red horizontal line.
KLS2 is the thinner line.
You can turn on diplaying of fractal data for C_iFR('Show fractal lines(C_iFR)' parameter) to see
the sprecific fractal point(last price maximum or minimum) that the Key Level is based on.


Key Resistance Level(KLR1)

Often, a lot of 'SELL' orders are accumulated around the KLR1(a.k.a. KUS1) level.
This main resistance level is drawn as a blue horizontal line.
KLR2 is the thinner line.
The same way as with the KLS1, you can see for KLR1
the fractal point(last price maximum or minimum) that the Key Level is based on.
Set 'Show fractal lines(C_iFR)' to true to see the fractal data.


Key Level Tests

"Test of a Key Level" - is a failed attempt of the price to puncture a Key Level.
Depending on the input parameters, a Key Level Test(KLT)
is defined either as any single candle bar entering KLS1-KLS2 or KLR1-KLR2 region
or as series of bullish and then bearish(and vice versa) bars entering
and then exiting the above mentioned regions.

Parameter 'Tests area width, ticks' specifies the width of the KeyLevels region
sensitive to a 'KeyLevel Test'(KLS1-KLS2 or KLR1-KLR2 region).

Parameter 'Minimal KeyLevels Tests number(0 = OFF)' sets the minimal number of Key Level Tests required to approve a pattern for trading.
If this condition is not met - the pattern will be ignored by the program.

'Tests structure' - the miminal opposite bars number. The number of bars moving in the opposite direction(defined by open-close prices)
required for a Test to be confirmed. Also, the opposite bars must be in series, next to each other or separated by dodgees - '+' like patterns with open=close prices.


Test Levels

When a Key Level is 'punctured', for 1-8 candle-based pattern models,
'Test Levels' appear.
For the BSB-MSB(9-10) pattern models, 'Profit Zones' appear.

Test Levels do not appear in case if Key Level Tests requirements are not met.


PUT1

PUT1 - is a 'Test Level'.
It symbolizes the KeyLevel(defined by previous price extremum)
that was previously punctured by the price movement.


PUT2

PUT2 - is also a 'Test Level', similar to PUT1,
but it represents the opposite previous extremum(the opposite border of the current channel).

For 'bearish' market the same logic is applied, just reverse the colors blue to red
and reverse the positions.


Fractal Test Levels

In addition to simple Test Levels, based on the channel borders,
iFrankenstein model features Fractal Test Levels.
These are built based on previous fractals from the associated C_iFR module.
Fractals are detected prior to KeyLevel Puncture and PUT1,2 formation.


FUT1,FUT2

'FUT1' symbolizes the very last(the newest) fractal from the specified timeframe,
'FUT2' is the older fractal, the penultimate one.

With the data from C_iFR you can see the exact price peaks that formed
the fractals.


Configuration

In iFrankenstein, for each of the 10 patterns there's
a separate block of input parameters associated with Key Levels
under the 'KeyLevels' category.



KeyLevels and TestLevels parameters:
  • 'ON/OFF' turns on/off the KeyLevels module(and Test Levels as well).
  • 'Bars to the left of the fractal' specifies the number of bars to the left of the fractal for the main C_iFR module.
    It tunes the performance of the fractal parser.
  • 'Bars to the right of the fractal' same as the above, but specifies the number of bars to the right of the fractal.
    Generally speaking, the narrower the range specified by these two parameters, the more fractals are discovered
    by the algorithm. But it increases the amount of 'noise'.
  • 'TF for the KeyLevels Fractals' switches the timeframe. Can only be equal to the timeframe of the chart or be higher.
    If the lower timeframe is used the parameter will be automatically incremented
    and set to be the current timeframe of the chart window.
  • 'Minimal KeyLevels Tests number(0 = OFF)' sets the minimal number of Key Level Tests required to detect(identify) a pattern.
  • 'Tests structure' - the miminal opposite bars number. The number of bars in the opposite direction(defined by open-close prices)
    required for a Test to be confirmed. Also, the opposite bars must be in series, next to each other or separated by dodgees- '+' like patterns with open=close prices.
  • 'Tests area width, ticks' specifies the width of KeyLevels sensitive to 'KeyLevel Tests'.
  • 'PUT1%' corrects the position of the PUT1 vertically, % relative to the distance between PUT1 and PUT2.
  • 'PUT2%' corrects the position of the PUT2 vertically, % to the distance between PUT1 and PUT2.
  • 'PUT1 - lifetime, bars(0 = OFF)' - the lifetime of PUT1, in number of bars of the timeframe specifed with 'TF for the KeyLevels Fractals' parameter.
  • 'PUT2 - lifetime, bars(0 = OFF)' - the lifetime of PUT2.
  • 'FUT1 - lifetime, bars(0 = OFF)' - the lifetime of FUT1.
  • 'FUT2 - lifetime, bars(0 = OFF)' - the lifetime of FUT2.
  • 'Bars to the left of the fractal' specifies the number of bars to the left of the fractal for the separate C_iFR module used for FUT1,2 detection.
  • 'Bars to the right of the fractal' - same as the above, but specifies the number of bars to the right of the fractal.

10 Basic Patterns

There are 10 basic candle-based pattern models used to predict price movements.
DD,DB,SD,SB,RD,RB,SSD,SSB - indexed as 1-8 - 'triangle' models symbolizing specific volatility regions that form visible "dips and tops".
BSB,MSB - 9-10 - 'StartBar' type of patterns. This model consists of specific series of bars detected within a 'Profit Zone(Channel)'.

5 patterns are for 'SELL' trades and 5 patterns are for 'BUY' trades, they are mirror copies of each other.

BUY: DD,SD,RD,SSD,BSB
SELL: DB,SB,RB,SSB,MSB

Each pattern model and all associated with it modules can be activated or completely deactivated with 'ON\OFF' parameter.

These 10 patterns are used either without any additional models
or in conjunction with prior punctured KeyLevel and a triggered TestLevel(as part of a bigger complex model).

Each of these 10 patterns, when completed, sets up an Entry Point - the bar and price at which
the EA enters the market(opens a trade).

Patterns can be used on their own.
We recommend combine them together with KeyLevels and TestLevels - this is a more productive setup.

Complex pattern

When used in conjunction with KeyLevels and TestLevels, a pattern is approved for trading
and an Entry Point is created only if the 'left edge' of the 'triangle' is located at the specified TestLevel(simple or fractal one, PUT1,2 or FUT1,2).
(in case of 'triangle' patterns 1-8)


Patterns 1-8:

DD

DD is also known as "Double Bottom".
Often used as a simple BUY signal, but can be used as part of a more complex pattern.
On chart it is displayed as a symbolic blue triangle and a 'DD' label below it.

DB

DB is also known as "Double Top".
It is considered to be a SELL signal.
On chart it is displayed as a symbolic red triangle and a 'DB' label below it.

SD

SD is also known as "Weak Bottom".
It is a BUY signal.
Displayed as a symbolic blue triangle with 'SD' label below it.

SB

SB is also known as "Weak Top".
It is a SELL signal.
Displayed as a symbolic red triangle with 'SB' label below it.

RD

RD is also known as "Reversal Bottom".
It is a BUY signal.
Displayed as a symbolic blue triangle with 'RD' label below it.

RB

RB is also known as "Reversal Top".
It is a SELL signal.
Displayed as a symbolic red triangle with 'RB' label below it.

RD,RB Correction Level

RD(and RB) has additional parameter - 'CL(Correction Level)'.

The T.1 - T.2 distance (height of the left edge of the "triangle") is considered to be 100%.

Correction Level module acts as a filter.
If T.3 Price, the bar low, is located below the price of the Correction Level - the
pattern model is considered complete and approved, in other case -
the pattern is not complete and not processed any further.

SSD

SSD is also known as "Complex Weak Bottom".
It is a BUY signal.
Displayed as a symbolic blue triangle with 'SSD' label below it.

SSB

SSB is also known as "Complex Weak Top".
It is a SELL signal.
Displayed as a symbolic red triangle with 'SSB' label below it.

Pattern Height

All "triangle" patterns have 'Pattern maximal height' and 'Pattern minimal height' parameters, they act as a simple filter.

"Pattern Height" is the height of the left edge of the triangle.

Patterns that are too big or too small are not displayed and not processed any further.

iBB

A custom Bollinger Bands - iBB - is in the 'recipe' for patterns 1-8 ('triangles'), it's part of their models.

Its dynamics is used to determine the beginning of the pattern.

For each pattern there's a separate iBB section.

To calibrate(and to optimize) iBB use input parameters:

  • iBB period
  • iBB deviation

Bar B.

There's additional filter associated with the "bar B", it acts as a basic anti-slippage filter and position filter.
"bar B" is a name for the bar that forms a reversal movement.

Basically, the height of the left edge of the triangle is considered 100%.
If bar B(the bar previous to the Entry Point) exceeds the price level specified
by 'Check bar B' parameter - trading is denied.

Patterns 9-10:

BSB

BSB is also known as "Bullish Start Bar".
It is a BUY signal.
Displayed as a blue-ish rectangle.

MSB

MSB is also known as "Bearish Start Bar".
It is a SELL signal.
Displayed as a red-ish rectangle.

Profit Zone

Both patterns - MSB and BSB - start with a Key Level puncture.
Once a Key Level is punctured by price movement, and if the conditions for KeyLevels Tests are met,
a Profit Zone appears.

Profit Zone is configured with parameters under the "Profit Zone" category for BSB and MSB.

The LifeTime is set in number of bars.

ATR(Average True Range) indicator value at the moment of KL puncture
is used to determine Profit Zone's boundaries, it is multiplied by the PZ-, PZ+ coefficients.

PZ- level sets the minimal price.
PZ+ level sets the maximal price.
If any candle closes outside this range - the pattern is filtered out.

iSTB

BSB, MSB pattern models include signals from a custom "StarBar" indicator (iSTB).
StartBar is based on iTrendDetector, it has the same inputs.

BSB, MSB trigger

BSB and MSB pattern scheme:
1) Key Level Puncture
2) Profit Zone Formation
3) Start Bar Rotation

Start Bar Rotation is StartBar switching and signaling opposite direction.

The rotation must happen within the current Profit Zone(previously defined with ZV-, ZV+ parameters).

A trading signal is created the moment the Start Bar rotation ends, as indicated
with iSTB(StartBar indicator, notice the candles colored yellow or green).

The green region end is marked with the first yellow bar. The second yellow bar
has a trading signal drawn over it; the full pattern has been formed(Key Level Punctured and Start Bar has "rotated").
Thus, trading has been triggered.

BSB, MSB KeyLevel Retest

If the parameter 'Require KeyLevels retest with bars rotation' is set to true,
the rotation must re-puncture the KeyLevel again with High or Low price of one of the bars.


iSIG

Each Pattern, when completed, results in an Entry Point(entry points are managed by the iSIG module).
Each Entry Point is associated with a Stop Loss and a Take Profit,
if passed through filters.

An Entry Point, on a chart, looks like a blue(buy) or red(sell) circle with an arrow inside of it.

If the trading environment and input parameters allow for opening a trade,
Take Profit and Stop Loss symbols appear.


Stop Loss

The distance to Stop Loss is specified in ticks.
See 'SL(ticks to the pattern's base)' input parameter.

The pattern's base is the triangle's left corner.


Take Profit

The distance to Take Profit is specified with a ratio value.
See 'TP("Target")' input parameter.
The value represents the ratio between the distance to SL and the distance to TP
(from the Entry Point price).
1.0 stands for equal SL and TP,
2.0 sets TP twice as 'big' as SL.
For example, for DD(Double Bottom), the TP is set to 2.0,
so the distance to TP(212 ticks) is twice as big as
the distance to SL(106 ticks).


Divergences

iFrankenstein hosts iRSI_iDiv - a divergences module.

For divergences detection a separate timeframe is used, it is specified with 'TF for the RSI divergences' parameter.
Arrows on the chart symbolize price peaks that define the divergence.

Series of vertical lines above bars symbolize an activated divergence signal.

For each of the 10 patterns there's a separate block of parameters
for divergences.

Divergences module acts as a filter.
It either allows the trade or forbids it.

There's 3 main categories of divergences, based on their structure and ways of application:

  • Bearish
  • Bullish
  • Simple
  • Reversed
  • Filter
  • Signal

Bearish and Bullish divergences mirror each other.

Simple Bearish divergences are generally used as SELL signals.
Bullish divergence is a mirror copy of the Bearish divergence, but signals BUY and
is drawn in blue color.

Reversed Bullish Divergence is defined not as difference in price between the peaks but
as difference in price between the dips(bottoms).

Same goes for the Reversed Bearish divergence, it is defined as difference in price between two peaks.

All types of divergences can either be used to form a signal
or set up a filter.
If module is set to 'Filter' - trades that oppose the signal are forbidden, filtered out(Entry Point is deactivated
and TP-SL symbols disappear).

For example, whenever a bearish divergence is detected and, simultaneously, a SELL signal from the divergences module is alive -
Entry Points get deactivated(SL and TP disappear).

If module is set to 'Signal' - only trades that match an active divergence signal are allowed.

If 'Instant Signal Start' parameter is set to false
and the signal did not start because for the signal to start the RSI value first has to
exceed the level specified by Overbought/Oversold parameters.

If the 'Instant Signal Start' parameter is set to 'true'
the signal starts instantly no matter the environment.

Other important parameters to consider for optimization:

  • 'OFF,FILTER,SIGNAL' — 0 = OFF the Divergences module, 1 = set as FILTER, 2 = set as SIGNAL provider.
  • '(0)Fast,(1)Strict,(2)Full' — Divergences Detection Algorithm. "Fast" is fast but is easily triggered. Strict is slower, but gives better precision, less noise. Full is the slowest but the most powerful one, creates a lot of noise.
  • 'RSI period' — period for the RSI module. Values in the range of 4-20 are reasonable.
  • 'Search depth, bars' — the search depth, in bars of the specified TimeFrame. The algorithm does not parse further this value.
  • 'Minimal Deviation, ticks' — the minimal difference between the price values of the peaks to trigger divergence detection. The so-called 'Sensitivity' factor.
  • 'Minimal Deviation, RSI value' — the minimal difference between the values of the RSI peaks to trigger divergence detection.
  • 'Signal Death level' — the RSI value at which the signal dies.
  • 'Signal Lifetime, bars' — the lifetime of the signal, in bars.

Technical Pocket

TP - Technical Pocket - is a volatility-filter.
It defines the minimal required day volatility for a trade to be approved.
The higher the value - the bigger volatility is required.

On chart with Frankenstein EA, TechnicalPocket status is displayed at the bottom.

Day volatility is measured with the Average True Range (ATR) indicator.
The Technical Pocket value is defined as
ATR value for the previous day(D1 timeframe) multiplied by
the factor "TP:Technical Pocket Height".

Each of 10 patterns(DD, DB, SD...) has its own block of input parameters for T.Pocket.

If Take Profit is placed outside the price limits allowed by Technical Pocket —
trading is canceled(filtered out).

The price limit for Take Profit is arithmetically defined as the High(or low for SELL) of the current day
minus the Technical Pocket value.

The idea of this filter is to trade only positions supported by high volatility of the previous day.
Or, in other words, it only allows trading if the previous day was volatile enough,
depending on the trade parameters.


Example...

ATR on Daily gives us the Technical Pocket value 796 ticks.

ATR value for the previous day is 796 ticks.
"TP:Technical Pocket Height" = 1.0. (1.0 is 100%. For 150% use 1.5, and so on...)
This makes the Technical Pocket value = 796 ticks * 1.0 = 796 ticks.

Subtract this value from the current day price maximum; the resulting value sets the threshold
for the Take Profit.


Retrospection Depth

An important parameter to mention - Retrospection Depth.

Configures the depth of calculation on historical data for the indicator engine.
It sets the range of bars that indicator data is being process prior to the last
known historical data bar. It's a precalculation range.
The higher the value the deeper you can see into the past.

To spare the RAM, CPU resources, the value is supposed to be in the 100'000nds.

For more

Feel free to ask any questions, the info provided above is a quick overview
of the system and only covers the basics.


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Magic EA is an Expert Advisor based on Scalping, Elliot Waves and with filters such as RSI, Stochastic and 3 other strategies managed and decided with the robot smartly. Large number of inputs and settings are tested and optimized and embedded in the program thus inputs are limited and very simple. Using EA doesn't need any professional information or Forex Trading Knowledge. EA can trade on all symbols and all time frames, using special and unique strategies developed by the author. The EA
Cordoba mt5
Mikhail Mitin
Main: Not martingale, not a grid; Working on all symbols; Use on EURUSD; Use on M5. Signals: There is a good rational algorithm. Work of two indicators: Ichimoku and Alligator  (you can set a separate Timeframe for each indicator) Stop Loss/Take Profit: There is a good money management system (there are several type for trailing stop loss); There is virtual levels of Stop Loss / Take Profit; There is smart lot (percent by risk) or fix lot Important: EA can work on closed candles, and on c
ExtremeX
Noelle Chua Mei Ping
This algorithm thrives on extreme conditions of volatility.  It will evaluate the condition prior to market close, enter a position and exit when market swings to extreme levels in your favour.  The algorithm does not deploy any technical indicators, just simple mathematical calculations.  This works very well on non directional markets especially FOREX in the short term which are very choppy.  You can test out on other asset classes as well.  20 year backtest done to validate the rule.
RSI Grid MT5
Joseph Anthony Aya-ay Yutig
OBTENEZ D'AUTRES EA GRATUITEMENT !!! OBTENEZ D'AUTRES EA GRATUITEMENT !!! OBTENEZ D'AUTRES EA GRATUITEMENT !!! OBTENEZ D'AUTRES EA GRATUITEMENT !!! OBTENEZ D'AUTRES EA GRATUITEMENT !!! RSI Grid est basé sur les conditions de surachat et de survente RSI et ouvre une grille lorsque le commerce est du côté perdant du marché. Le RSI fournit aux traders techniques des signaux sur la dynamique des prix haussière et baissière, et il est souvent tracé sous le graphique du prix d'un actif. Un actif es
Pick and Roll
Marta Gonzalez
Pick and Roll   it is a Secure Automated Software for trade 28 pairs ​​simultaneously. P ick and Roll It is optimized for 28 pairs of forex market Pick and Roll  system operation: 1: PREVIOUS   TREND 2: CONSOLIDATION 3:   RUPTURE D o not use this robot at the same time as others, it is a multi-value robot, therefore it manages 28 pairs simultaneously. The architecture is a Fully Automatic Autonomous Robot Expert capable of independently analyzing the market and making trading decisions   
RSI PROject MT5
Osama Echchakery
Unlock the potential of automated trading with our state-of-the-art RSI PROject MT5 Expert Advisor (EA), designed to provide a seamless trading experience. This EA integrates robust filters and comprehensive settings, making it an ideal choice for traders of all experience levels. $32  (3 copy left) next price $99 Key Features and Benefits: Full Control Over Your Trading : No Martingale, Hedging, or Grid : Ensures a safe trading approach without risky strategies. Easy Installation : Get started
MNG Mt5
TDINVEST LLP
4.3 (10)
IMPORTANT : When testing the EA or running it live, make sure to set "Activate MNG Martingale" to "True" Hello & Welcome To MNG MNG is a martingale EA that allows you to configure a lot of features that I'll detail below. But first, I'd like to insist on the fact that a martingale EA is never safe, no matter if it has a good track record for 5+ years, if it shows incredible backtest results, if it's marketed as the best EA or whatever its price is ($30,000 or $50). A martingale EA might bl
FREE
Ultimatum Breakout MT5
Ruslan Pishun
1 (3)
Ultimatum Breakout  - this trading system uses the strategy of valid breakouts, using multiple custom indicators for eliminating bad signals. The EA uses a very small SL so the account is always protected from equity drawdown with a very low risk-per-trade. The EA is fully adapted: calculates the spread — for pending orders, stop loss, trailing stop, breakeven. It was backtested and optimized using real ticks with 99,9% quality. It has successfully completed stress testing. No Martingale. No arb
Trader fondamental Ziwox Ziwox Fundamental Trader est un assistant de trading qui aide les traders des marchés financiers à prendre des décisions intelligentes informées par les données d'information EA. Cet EA utilise des sources en ligne pour capturer les informations nécessaires telles que le biais fondamental des devises, le ratio du sentiment des commerçants de détail sur une paire, les prévisions des banques et des instituts, les données du rapport COT et d'autres données dans un pane
LL Grid EA MT5
Leopoldo Licari
********** CHRISTMAS OFFER - LIMITED TIME ONLY 30$ ********** 6 COPIES OUT OF 10 LEFT AT $35  ---> NEXT PRICE $55 UPDATED v1.8 IS OUT ON MARCH 2022 " I built this EA based on my past trading experience, on my personal needs, on what I already had in my hands, on those useful functions that I needed. I am happy to share it with you at a very small cost considering the potential and the time dedicated to developing it. " PLEASE READ ALL THE DESCRIPTION BEFORE USE IT -  Grid EA with  selec
CAP Channel Trading EA MT4  is Expert Advisor that base on our famous indicator  CAP Channel Indicator .  EA is a non-optimized expert advisor you have to find best setting by yourself. Who using our CAP Channel Indicator and looking for EA that base on Channel indicator this EA is best for them. We give lots of options so you can customize your trading strategy.  [  Installation Guide  |  Update Guide  |  Submit Your Problem  |  All Products  ] Channel Trading is a volatility-based indicator th
EA Makoto MT5
Ruslan Pishun
The EA uses a trend strategy based on several relative Strength, Average True Range and Stochastic oscillator indicators. it Also uses a grid and averaging positions up to 6 orders. The EA uses the main timeframe H1 and M15, M30 as additional. Orders use stop loss, take profit, breakeven, trailing stop and smart filter to transfer positions to breakeven. Attention! This EA is only for "hedging" accounts. МetaТrader 4 version :  https://www.mql5.com/en/market/product/39786 Multi_Currency_BackTest
Exclusive FOREX account HEDGE FuzzyLogicTrendEA is based on fuzzy logic strategy based on  analysis 5 indicators and filters. When the EA analysis all this indicators, it decides, based on its fuzzy strategy, which trade will be better: sell or buy. As additional functions, it´s possible defines spread maximum, stop loss and others. Recomm. Symbol: EURUSD, AUDUSD, GBPUSD, NZDUSD, USDCAD, AUDCAD, EURCAD e USDJPY Recomm. timeframe: H1. Backtest were done on EURUSD, H1, 01/07/2023 - 26/0
Crypto MonKey
Dragan Drenjanin
Crypto Monkey is the latest addition to our suite of automated trading robots tailored for Bitcoin trading. Embracing a minimalist design, this robot aligns seamlessly with the aesthetic of our previously released applications on this online store. Notably, Crypto Monkey is equipped with predefined entry rules capable of generating market orders for both buying and selling positions. Additionally, the robot incorporates exit signal rules as well and includes standard rules such as Take Profit (T
The EA opens trades based on Fractals indicator signals and uses smart averaging and position volume calculation. Unlike most grid expert advisors, Double Grid Pro opens averaging positions only on signals. The Fractals indicator is considered the most effective in this case. The expert Advisor can be configured for an aggressive and conservative trading style. The key parameter in the strategy is the CorrectionValue parameter, it indicates the size of the correction at which we close the ent
Recovery System
Maksim Neimerik
Recovery System EA The advisor is designed to automate the process of recovering losses on the current symbol. It can be used if there is a current loss, as well as to accompany other advisors. This product can also be used as a stand-alone advisor. Recovery System EA contains in the settings an option to select the operating mode: Recovery MA Cross Stochastic Bollinger Bands Non-indicators When working in Recovery mode, the advisor removes a losing position from a drawdown using the method sh
DiversiStrat Harmony Pro
Daniel Enrique James Whyte
DiversiStrat Harmony Pro: Revolutionizing Trading with over 25 Strategies in one EA! Welcome to the future of trading with DiversiStrat Harmony Pro – your ultimate solution for navigating the complexities of the market with ease and precision. Harnessing the combined power a package of meticulously curated strategies, this Expert Advisor (EA) is engineered to excel in the dynamic landscape of Forex trading. At the heart of DiversiStrat Harmony Pro lies a commitment to innovation and reliability.
FREE
IPgbpusd5
ANO IDS
3 (2)
The EA is recommended for trading GBPUSD M5. It is based on the strategy of "waiting out", the market entry (and exit) points are determined on the basis of correlation of a number of indicators. The trading volume for opening a position depends on results of previous trades. It is possible to limit the amount of risk (the AutoMM parameter). It is also possible to set the maximum spread, above which the EA will automatically suspend trading (the MaxSpread parameter). It also has advanced feature
Grid Master is a highly customizable fully automated grid trading algorithm. It is designed to capture market volatility and convert it to profit. Wherever there is movement in the market, there is potentially money to be made Grid Master has a powerful trading potential and is easy to set up and use. It has a built-in information Trading Panel to show performance and statistics, News Filter and Trading Time Filter to protect your capital. How the advisor trades: First, you choose th
Scalpers MA
Ivan Simonika
This bot is based on the analysis of adaptive moving averages. The expert is distinguished by stable signals, which can be used as accurate short-term signals. This is a semi-scalping system that analyzes the market using reliable indicators. Scalper is a system or not, depends on the parameters TakeProfit and StopLoss. Using this adviser, you need to understand that this bot requires optimization. The bot works both on netting accounts and on hedging accounts. But the settings must be optimize
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4.35 (75)
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5 (2)
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Xian Qin Ceng
5 (7)
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Signal provider based on RSI Divergences from a higher timeframe. First 3 buffers export a signal. Timeframe for which divergences are detected is optional, see 'RSI divergences timeframe' parameter. The indicator uses different algorithms for divergences detection: 'Fast' algorithm is the simplest solution that works the fastest. 'Strict' algorithm filters out more noise but works slower than the previous one. 'Full' algorithm uses recursive functions and provides with lots of d
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Frank
Aleksei Grebenkin
Multifunctional universal trading system . Suitable for all Forex and Crypto markets. .set files are updated weekly, published on our site. ----   Frank.ex5 [FOR OPTIMIZATION], fast engine for optimization of TS_DayTrader Trading System. Designed specifically for high-speed optimization in MT5 Tester. For graphical interface, see Frankenstein.ex5 . Both Frankenstein.ex5 and Frank.ex5 have automatic trading capabilities. Parameters(.set files) for Frank.ex5 and Frankenstein.ex5 are in
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Aleksei Grebenkin
Simple RSI indicator. User can choose TimeFrame for the RSI. For example, you are using chart with M5 data but want to see RSI from different fimeframe H4 drawn below the main chart window. RSIhtf.ex5(iRSI.ex5 - another name) (h = higher, tf = timeframe) is designed specifically for this case. Exports 1 buffer with indicator data. The indicator is part of TS_DayTrader system.
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Multifunctional universal trading system . Suitable for all Forex and Crypto markets. .set files are updated weekly, published on our site. ----   Frankenstein.ex5 [with GUI], provides with graphical interface for TS_DayTrader Trading System. Features an extensive array of tools for manual and automated trading. For optimization capabilities, see Frank.ex5 [FOR OPTIMIZATION] - version for the MT5 Tester. Both Frankenstein.ex5 and Frank.ex5 have automatic trading capabilities. Paramet
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Aleksei Grebenkin
iFrankenstein - an essential part of TS_DayTrader trading system( Frank.ex5 / FrankPro.ex5 / Frankenstein.ex5 ). The indicator provides with 10 pattern-based signals. For each of the 10 patterns there's a number of internal indicators and filters used: Fractals KeyLevels RSI Divergences BollingerBands ATR Technical Pocket Pattern-specific volatility filters The first 30 buffers of the indicator export a signal that consists of TakeProfit, StopLoss, Price values, for each of the
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Aleksei Grebenkin
Indicator iPatterns.ex5 detects 8 different classes of volatility patterns. DD, SD, RD, SSD are the so-called "bottoms". DV, SV, RV, SSV are "peaks". User can set up an Alert to be notified about a new pattern detected. Parameters 'Pattern maximal height' and 'Pattern minimal height' work as filters. 'iBB period' and 'iBB deviation' parameters regulate performance of BollingerBands indicator - it provides one of the signals forming already mentioned above 8 patterns. iPatter
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Version 5.5 2024.08.01
Some minor bugs fixed.

New parameter: IP_symbols_postfix - Append postfix to symbols' names (rfd for EURRUBrfd)

The system was tested on RoboForex, AvaTrade, Alfa-Forex accounts, USD and RUB.