DYJ Withdrawal Plan
- Experts
- Daying Cao
- Versione: 1.70
- Aggiornato: 3 gennaio 2024
- Attivazioni: 5
Il programma di ritiro di DYJ è UN sistema di trading a cambiamento di tendenza che può essere aperto e chiuso al punto di svolta della tendenza.
Qualsiasi simbolo applicabile a qualsiasi intermediazione: Foreign exchange or synthectic
Visualizza le informazioni su TP, SL, spaziatura griglia, profitto TPSL e garanzia di transazione minima, oltre al margine di profitto per ogni tipo di prodotto, con registrazione automatica degli obiettivi di profitto e registrazione globale degli obiettivi di profitto.
è inoltre dotato di una funzione di assistente alle transazioni manuali che consente di eseguire transazioni manuali indipendenti o una combinazione di transazioni con EA.
Ha anche la capacità di risolvere I problemi di transazione
Quando si effettua una transazione manuale o una transazione automatica EA, la strategia di risoluzione dei problemi può trasformare gli ordini in ordini redditizi
EA può essere impostato per utilizzare UN singolo modello di ordine.
EA tek bir sipariş modunu kullanarak sipariş verebilir
Il programma di prelievo di DYJ consente di specificare I programmi di prelievo in base al sistema di gestione dei fondi.
Il denaro può essere prelevato in tre modelli: profitto giornaliero, profitto settimanale e profitto mensile.
Ogni modello può estrarre profitti in base alla proporzione di estrazione che hai specificato.
Possiamo farti fare prelievi simulati su conti reali.
Il prelievo regolare può raccogliere gradualmente I nostri profitti. Quando si incontrano rischi di mercato, il prelievo ha superato di gran lunga il capitale.
Allo stato attuale, dopo UN rigoroso test, le seguenti varietà hanno I migliori risultati.
Synthetic index:
- We recommend a deposit of $2,600, using the EA parameters of GAME and hedging strategy.(Link)(Modify InpIsUseEnvelopes=true and InpIsUseMaAndEnvelopes=true after loading parameters)
Check its performance in the product comment area.(Link)
-
100$ deposit violence grid double investment strategy and small broad strategy EA parameters, download it.(Crash 500 Index)(Link)(Modify InpIsUseEnvelopes=true and InpIsUseMaAndEnvelopes=true after loading parameters)
-
100$ deposit violent monopoly double investment strategy (no grid and no Martin strategy) EA parameter download(Link)
View the screenshot link of the transaction Crash 500 Index monopoly double investment strategy performance in the product comment area.(Link)
- 100$ deposit violence monopoly strategy and grid strategy and double investment strategy EA parameter download(Link)
- 100$ deposit MA strategy violent double investment incremental EA parameter download file link(Link)
Please check the performance screenshot of Crash 500 Index in the comments section.(Link)
Steady and violent double-investment incremental suggested deposit is 550$, with the same parameters as above.
Note: If it is necessary to control the trading volume of double investment, please modify the trading volume value of the parameter "cycle between minimum and maximum volume for double investment", and the trading volume of double investment will increase between minimum and maximum.
- Boom 300 Index: Please download the parameter template in the product comment area.(Link)
Forex Symbol:
- Full-variety trading parameters English version:(Link)(Modify InpIsDisplayChartObject (Display EA's SpreadSheet) to true after loading parameters)
Please check the screenshot link of performance in the comment area of foreign exchange full-variety trading.(Link)
-
Download the Chinese version template file of XAUUSD gold trading parameters(Link)(Modify InpIsUseEnvelopes=true and InpIsUseMaAndEnvelopes=true after loading parameters)
View the screenshot link of XAUUD gold trading performance(Link)
EURUSD trading parameters are the same as gold: please change the XAUUSD of the above parameters to EURUSD to use. In addition, it can also be written in comma-separated form, such as XAUUSD and EURUSD. An EA can trade xauusd and eurusd at the same time.
Altre varietà possono modificare I propri test dei parametri. In alternativa, attendere gli aggiornamenti successivi del modello di parametro.
INPUT
[GENERAL]
InpMagic = 9372
InpSelectTradePairs = CustomPairs -- CustomPairs Or MarketWatchAllPairs.
InpCurrencyLists = "GBPUSD,EURUSD,USDJPY,USDCHF,XAUUSD,USDCAD,AUDUSD,NZDUSD" -- Custom Trade Pairs_1(major)
InpCurrencyLists_2 = "EURAUD,EURNZD,EURCAD,EURCHF,CADJPY,CADCHF,AUDNZD" -- Custom Trade Pairs_2(minor)
InpCurrencyLists_3 = "USDCNH,USDHKD,USDZAR,USDSGD,USDPLN,USDSEK,USDNOK,USDMXN,CHFJPY" -- Custom Trade Pairs_3(minor)
InpCurrencySuffix = .s -- supports currency pair suffixes.
InpEAComment = "TRT";
Inpwithdrawalcomment = "withdrawal"-Brokerwithdrawal comment (for example, it is the MTR trading account number _CR USD transit account number).
[WITHDRAWAL PLAN]
Inpforceinittimesearchwithdrawn = 0-withdrawaltime.0-> stands for January 1, 1970.
InpWithdrawalMode = WithdrawalByDay -- Withdrawal By Day Or Week Or Month
InpOneInX = 2 -- Our withdrawal is InpOneInX% of the D-W-MN profit.
InpBlanceTesterWithdrawalConditions = 100 -- Withdraw profit by D-W-MN if balance>value.
IsAutoCloseWithdrawalTable = false -- Auto Close WithdrawalTable in Tester.
InpStopTradeInWithdrawalPlan = StopTradeDisable -- Stop Trade In WithdrawalPlan.
StopMinutes = 60 -- The transaction is stopped for 60 minutes on the withdrawal plan.
[TREND]
InpUseStandardTimeFrame = false -- Whether to apply the standard time frame.
InpMinTimeFrame = M1 -- check minimum timeframe for Signal in Frame.
InpMaxTimeFrame = M1 -- check maximum timeframe for Signal in Frame.
[RISK]
InpRiskPercent = 13.5 -- InpRiskPercent:Risk(x%) In Still Available Risk or [-x is lot].
For Crash 500 Index:
Deposit 100, InpRiskPercent=13.5
Starting transaction volume is 0.32
Deposit 100, InpRiskPercent=8.71
Starting transaction volume 0.2
Deposit 1000, InpRiskPercent=8.71
Starting trading volume 2
Deposit 10000, InpRiskPercent=8.71
Starting transaction volume 20
Fixed trading volume setting InpRiskPercent=-0.001All varieties are subject to the minimum trading volume, because the minimum trading volume of Vol75 is 0.001, which is the smallest value among all varieties.
Other fixed transaction volume settings:For example, InpRiskPercent=0.3the transaction volume of Crash 500 Index is 0.3.
InpAutoRiskInBalance = 30 -- InpAutoRiskInBalance:Still Available Risk In Balance(x%).
[TRADE]
InpMaxtrades = 1000 -- Maximum trades for signal open.
InpMaxTradesPerSymbol = 1000 -- Maximum trades for per symbol signal open.
InpMaxCountsOfAllowedSymbol = 1000 -- Allowed maximum number of symbols for exist positions.
TakeProfits = 50 -- TakeProfits:It's a multiple of spread.
StopLoss = 50 -- StopLoss:It's a multiple of spread.
InpMultipleTPSLOfBase = 1.
InpIsOpenOrder = OpenOrders -- OPEN AND PENDING MODE or ONLY PENDING MODE.
InpDirection = Both -- Buy or Sell Or Both or Disable.
InpGridMode = STOP_MODE -- Contains a variety of pending order modes:BUYSTOP_MODE,SELLSTOP_MODE,STOP_MODE,BUYLIMIT_MODE,SELLLIMIT_MODE,LIMIT_MODE,BOTH_MODE,TREND_STOP_MODE,TREND_LIMIT_MODE,TREND_STOP_AND_LIMIT_MODE
InpMaxGridOrders = 0 -- Maximum Grid Orders.["0"->off :disable grid].
InpOrderStepFileType = BrokerIndexAccount -- type of file for sandbox
InpFirstOrderStep = 7 -- first step:multiple of SPREAD or reads from sandbox,if it is -1.
InpOrderStep = 7 -- order step:multiple of SPREAD or reads from sandbox,if it is -1.
InpMultipleStepOfBase = 1;
[PROFITS DYNAMIC TARGET]
InpSymbolProfits = 1 -- closing a symbol for Dynamic profits[0=Auto,-1=off]
InpTotalProfits = 1 -- closing all positions for Dynamic profit target[0=Auto,-1=off]
InpTrailingPercentage = 0.7 -- Dynamic profit target:70%
InpTargetIncreaseCoeff = 0.8
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