Hedge trader
Budget: $30 – $250 AUD
Need a EA that opens trades 4 times a day.
EA will open a buy and sell position at the time required ( set by input value for HH:MM:SS)
will have inputs as
Trade 1 HH:MM:SS
Trade 2 HH:MM:SS
Trade 3 HH:MM:SS
Trade 4 HH:MM:SS
Trades will open with SL (Based on SL value input Buy SL :XXXX Sell SL:XXXX (Buy/ Sell Trade Pip Value Input) )
Trades are opened based on
Trade Management
Lot size calculated on both buy and sell based selection between 2 options
1: Account Balance % ( % Value Input ) & Pips value set ( Buy/ Sell Trade Pip Value Input)
2. Fixed Lot Size ( Fixed Lot Size) and Pip Value set ( Buy/ Sell Trade Pip Value Input)
( Only one option to be executed based on Option 1 or 2 selected )
Trade days
Monday
Tuesday
Wednesday
Thursday
Friday
Saturday
Sunday
( Each day to have selectable in Input)
TP options
If Buy loss $ xx.00 Close Buy trade position when loss equals this value ( Buy loss $ Value input)
If Sell loss $ xx.00 Close Sell trade position when loss equals this value ( Sell loss $ Value input)
If Buy loss $ Value input Set to 0 do not close trade
If Sell loss $ Value input Set to 0 do not close trade
If Buy TP value (Buy TP value in $$$$) is equal to Move SL to - Trailing Trigger value to current price ( Minus Trailing Trigger value in pips ) and execute trailing (Based on Trailing Step value)
If Sell TP value (Sell TP value in $$$$) is equal to Move SL to - Trailing Trigger value to current price ( Minus Trailing Trigger value in pips ) and execute trailing (Based on Trailing Step value)
if Buy TP value in $$$$ is set to "0" then use Trailing Trigger value in pips to execute Trailing SL to exit trade.
if Sell TP value in $$$$ is set to "0" then use Trailing Trigger value in pips to execute Trailing SL to exit trade.
EA will open a buy and sell position at the time required ( set by input value for HH:MM:SS)
will have inputs as
Trade 1 HH:MM:SS
Trade 2 HH:MM:SS
Trade 3 HH:MM:SS
Trade 4 HH:MM:SS
Trades will open with SL (Based on SL value input Buy SL :XXXX Sell SL:XXXX (Buy/ Sell Trade Pip Value Input) )
Trades are opened based on
Trade Management
Lot size calculated on both buy and sell based selection between 2 options
1: Account Balance % ( % Value Input ) & Pips value set ( Buy/ Sell Trade Pip Value Input)
2. Fixed Lot Size ( Fixed Lot Size) and Pip Value set ( Buy/ Sell Trade Pip Value Input)
( Only one option to be executed based on Option 1 or 2 selected )
Trade days
Monday
Tuesday
Wednesday
Thursday
Friday
Saturday
Sunday
( Each day to have selectable in Input)
TP options
If Buy loss $ xx.00 Close Buy trade position when loss equals this value ( Buy loss $ Value input)
If Sell loss $ xx.00 Close Sell trade position when loss equals this value ( Sell loss $ Value input)
If Buy loss $ Value input Set to 0 do not close trade
If Sell loss $ Value input Set to 0 do not close trade
If Buy TP value (Buy TP value in $$$$) is equal to Move SL to - Trailing Trigger value to current price ( Minus Trailing Trigger value in pips ) and execute trailing (Based on Trailing Step value)
If Sell TP value (Sell TP value in $$$$) is equal to Move SL to - Trailing Trigger value to current price ( Minus Trailing Trigger value in pips ) and execute trailing (Based on Trailing Step value)
if Buy TP value in $$$$ is set to "0" then use Trailing Trigger value in pips to execute Trailing SL to exit trade.
if Sell TP value in $$$$ is set to "0" then use Trailing Trigger value in pips to execute Trailing SL to exit trade.