Specifiche
Hi,
I would like someone to write me a trading robot based upong the following:
1. Kaufman Adaptive Moving Average (KAMA1) = P8 F5 S9
2. Kaufman Adative Moving Average (KAMA2) = P2 F10 S50
3. Position Size (contracts/units) based upon 1% risk of account being the difference between entry and stop loss
4. Stop Loss to be 2 Standard Deviations of KAMA 1 - option for trailing at this level
The strategy is very simple:
- When Kaufman 1 crosses Kaufman 2
If Cross Over, then Long
If Cross Under, then Short - Position Size (units) to be % of the balance based upon stop loss
- Stop Loss is 2 Standard Deviations of KAMA1
- Close Trade on next candel if High(long) / Low(short) is less than KAMA1
- Immediately Close position if Price <= Kama2 (long) / > = Kama2 (short)
Con risposta
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