Hello!
This EA uses selected time frame exponential moving averages and higher time frame (daily) exponential moving averages in combination with
daily price action to determine whether or not to open a trade.
Below is a description of input parameters:
- MN – Magic number;
- PTS_Risk* – Variable that is connected with PROC_Risk in order to calculate
position size; - PROC_Risk* – Variable that is connected with PTS_Risk in order to calculate position size;
- ONE_ORDER_A_DAY – If true then open maximum of one order per day;
- DO_MAX_LOTS – If true then limit maximum open lots at a time;
- MAX_LOTS – Specify maximum amount of open lots at a time if DO_MAX_LOTS is true;
- DO_SL – If true then do specific SL points for order;
- SL_PTS – Set the SL points when DO_SL is true;
- DO_EXPIRATION – Whether or not we want our orders to have expiration time;
- EXPIRE_LOSSES_ON – If true then do expiration only for losing trades, else for all trades;
- Expiration_Days – Amount for expiration;
- DO_REVERSE – Open BUY when it is signal for SELL and vice versa;
- ALL_CONDITIONS – Makes entry conditions take into account pivot point state if true.
*PROC_Risk and PTS_Risk calculate Position size accordingly: if we lose PTS_Risk amount of points from the order, it will be equal to PROC_Risk
of Current account equity.
Currently I have found parameters (which can be seen in screenshots) that work for USDCHF and EURUSD H1 data on 90% quality backtesting for
different time periods. I will do further testing and analysis and will do updates. I encourage everyone to test the parameters in demo
version before buying the product. Good luck!