Friday, December 29, 2017

European stocks favored waiting

European stocks favored waiting summit on Greece, the euro held at a height

On Monday
European stock indexes opened the session
increase. To be held today
the decisive meeting of the leaders and ministers
Eurozone finance. it
discuss new reforms proposed
Greece's creditors.

All sectors
Stoxx Europe 600 traded
plus, the index itself has started session with the growth
1.6%. By 10.49 MSK DAX added
2.81%; FTSE 100 rose 1.37%; CAC
40 firmed 2.76%. increased peripheral
indices (which seemed the most
unstable): IBEX 35 rose
2.43%; FTSE MIB - 1.92%.

He shows hope
for the best and the single currency: hope
to resolve the situation alienates
Greece's exit from the euro area perspective,
and thus reduces the likelihood of major
shocks to the euro. Just an hour
ago, at 10:00 MSK EURUSD grew
to the level of 1.1399, but fell to 11.00
to 1.1319.

yesterday Greek
Prime Minister, Alexis Tsipras, presented on
court international creditors once
reform package. A feeling that is
Recently, the country's effort to avoid default
and destructive event for the economy.
Movements take place after five months
the continuous stalemate in the negotiations. If
Greece today has reached agreements
the outflow of funds from Greek banks
will take rampant. head
Greek central bank on Friday
I met with representatives of the largest
banks in the country and warned them,
that if agreement is not reached
- Tuesday Greek banking system
expects big storm.

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VR Your Period

VR Your Period

The indicator allows the trader to create any schedule period.

Now the trader can create, customize, and analyze graphs in the range from 1 to 10,000 minutes.


  • Time Frame / Period - the period specified schedule strictly in minutes, 1 hour = 60 min, 1 day = 1440 minutes and so on..

  • Prefix - unique label objects when multiple copies of the indicator. Prefix must be different for each copy, specify any two letters.

  • Position Edit Period - Y axis offset panel input period. It used while running two or more indicators.

  • Distance - the offset relative to the current schedule.

  • Body Fill - Fill bodies candles color.

  • To show the main candle? - show / hide the terminal schedule

  • Bulls Color Body - color bodies bullish candle

  • Bears Color Body - color bearish candle bodies

  • Bulls Color Border - stroke color bullish candle

  • Bears Color Border - stroke color bearish candle

  • Width Border - the thickness of the stroke spark

  • Start Time - start time of data analysis terminal candles.

The indicator can be started in the strategy tester. At the same time as the Start Time is recommended to indicate the start date of the test. Recommended testing period - M1.


The indicator is based on the terminal minute candle MetaTrader 4. The older date Start Time, the more minute the candles will have to convert light and draw the new candles.

For processing large amounts of data may take some time, so it is recommended to set Start Time is not older than six months.

The indicator is designed so that when it is installed between the native graphics terminal is changed to minute period without the possibility of change through a terminal key.

This is done to obtain the most accurate data to calculate other period specified by the user in the input field or indicator settings.

When installing any other indicators together with VR Your Period indicator party, and built into the indicators are calculated from the data terminal with terminal M1 and do not take for the calculation and spark periods indicator VR Your Period.

Limitation of the demo version:

The settings are retained only Period (maximum 10) and Start Time. Other settings are available in the full version.

Go to page demo.

VR Your Period


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Thursday, December 28, 2017

Peak Trough Analysis Tool MT5

Peak Trough Analysis Tool MT5

Peak Trough Analysis - an excellent tool for the detection of peaks and valleys in the graph. Peak Trough Analysis can use three different algorithms detect peaks and troughs. These three algorithms include the original indicator Fractals Bill Williams, modified Fractals indicator and ZigZag indicator. You can use this tool for analyzing the peaks and troughs for the detection of patterns composed The equilibrium Fractal-wave processes. For further use there is a good guide to the use of this instrument for the analysis of the peaks and troughs in chapter 11 of the book "Introduction to Price Action and Pattern Trading" ( "Introduction to Price Action and trade of patterns"). This is a free utility that you can use this powerful tool to their advantage at your own risk.

Instructions for use

You can use it in three modes.

  • Mode 1: Indicator Fractals Bill Williams

  • Mode 2: Modified Fractals indicator

  • Mode 3: the LED Zig Zag

To use an algorithm based on a modified indicator Fractals set "Use Modified Fractals" = true.

To use an algorithm based on the Zig Zag indicator set "Modified Fractals" = false.

To use an algorithm based on the original indicator Fractals Bill Williams set the "Use Modified Fractals" = true. Set N left = N right = 2.

Input parameters

1. modified Fractals Settings

  • N left - N = number of bars counted left

  • N right - N = number of bars counted right

2. Settings Zig Zag

Use the default settings unless you are familiar with the indicator ZigZag.

  • ZigZag Depth - the depth of the zigzag

  • ZigZag Deviation - deviation Zigzag

  • ZigZag Backstep - the number of bars in history

3. General Settings

  • Arrow Shift in Pixels - hand shift in pixels, default 10

  • Use White Background Chart - use a white background graphics, true / false

  • Enable sound alert - enable audible alarms, true / false

  • Send email if peak or trough is found - to send email alerts when it detects a peak or trough, true / false

  • Send notification if peak or trough is found - to send a notification when it detects a peak or trough, true / false

Peak Trough Analysis Tool MT5

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Wednesday, December 27, 2017

Wall Street Major US stock indexes

Wall Street. Major US stock indexes show a positive trend

Wall Street. Major US stock indexes show a positive trend Major US stock indexes rose slightly on Tuesday after two sessions of losses. The dynamics of trade dictates M A activity in the consumer market and the health care market. Investors are also awaiting the results of a two-day meeting of the Fed.
The central bank is unlikely to raise interest rates at this meeting, but investors will be watching for any hints of this from Janet Yellen at a press conference after a meeting on Wednesday.
The Fed has said it remains dependent on makroekonomicheskih data and raise rates only when it sees an improvement in the economy. In the second quarter data indicate a recovery after stopping growth at the beginning of the year.
In addition, as Posted in General Ministry of Commerce on Tuesday, the pace of construction of houses has slowed down in May, after rapid growth in the early spring, but the main demand for houses, appears to be growing, as more and more Americans get jobs and wages rise. Bookmarks new homes in U.S. dropped by 11.1% compared to the previous month, and a seasonally adjusted annual rate reached 1036 thousand. Units. Nevertheless, bookmarks were up 22.1% in April, more than the preliminary estimates. Economists had expected the establishment of new homes will be reduced to the level of 1100 thousand. In May.
However, oil prices rose slightly today, due to expectations of increased demand and the threat of tropical storms along the Gulf Coast. Experts note that a tropical storm is forecast, can reach the Texas coast Tuesday morning. Along the Gulf Coast in the state is more than 45% of oil refining and gas processing about half of US power.

Nearly all components DOW index trading up (25 of 30). Outsider shares are Caterpillar Inc. (CAT, -0.93%). More than other stocks rose UnitedHealth Group Incorporated (UNH, + 1.74%).
Sector S P index are mixed. Most consumer goods sector grew (+ 0.7%). Outsider is the sector of conglomerates (-0.7%).

At this moment:
Dow 17793.00 +81.00 + 0.46%
S P 500 2083.00 +7.50 + 0.36%
Nasdaq 100 4438.75 +10.75 + 0.24%
10-year yield 2.32% -0.04
Oil 60.01 +0.49 + 0.82%
Gold 1180.80 -5.00 -0.42%

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Tuesday, December 26, 2017

Greece agrees to fulfill requirements

Greece agrees to fulfill the requirements of lenders

This statement was made
foreign experts, referring to the letter
Prime Minister Alexis Greece
Tsipras sent to the heads of the European Commission,
IMF and European Central Bank last night. As stated in
letter, Greece will accept all conditions
creditors who have been nominated in
Last weekend, but with little
changes. As expected, it can
serve as a basis for providing
new aid package in the coming days.

The letter asks Tsipras
extend the program in the amount of bailout
29.1 billion euros. "I would like to ask
your government to reconsider position
on this issue and support the revision
The Hellenic Republic a request to ministers
Eurozone finance the extension of the program
assistance in order to answer it
positively"- says Tsipras. is he
He notes that this decision will contribute to
the achievement of a mutually beneficial agreement
with creditors and resume economic growth
Greece in the euro zone.

Greek government
will take all the reforms in the tax system,
except for one - Tsipras asked to save
a special 30% discount for Greek
islands, many of which are located
far and have difficulty in supplying them
goods and resources.

In the pension
Reform Tsipras asked to delay action
the transition to a 67-year-old pension
age up to October 2022, instead of typing
them instantly. In addition, in a letter
there is a request to extend the deadline "tax
solidarity"From which is supported
20% of poor pensioners - until 2019.

First confirmed in the IMF,
Greece has requested to extend
payments on loans. Finance ministers
Eurozone should discuss the new proposal
Tsipras afternoon.

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Monday, December 25, 2017

Fiscal cliff Time to call his

Fiscal cliff: Time to call his bluff

"Financial open" has all the features of the operation under a false flag, noisy and violent directed to soliciting concessions opponents. Neil Irwin of the Washington Post called it "self-induced crisis austerity mode." David Weidner in the Wall Street Journal calls it a theater being enacted to put pressure on policy makers in the field of budgetary financing:
"Open" in fact - just fabricated the annual budget ... The most likely outcome will be a combination of tax increases, spending cuts and the rumble of kicking an empty pot on the road.
In this case, the media covering this topic, "panic, to inflame the corresponding event somewhere between the approach of the storm and an alien invasion." In the summer of 2011 such hype in the media with success has led to the fact that the Dow Jones Industrial Average fell almost 200 points. But this time the market in general ignores the interruption, whether self-reachability of the agreement, or not giving it znacheniya.Kazhetsya, the purpose of the action - to destroy the social and health care, that is exactly what for decades tried to achieve a radical group of conservatives.
The problem is that no agreement would be sufficient. If we Ruhnu off a cliff, then taxes will rise for everyone, and GDP can be expected to fall by 3%. If no agreement is reached, it will not increase taxes for everyone, and will cut some social programs. But the main problem - high unemployment and drooping economy - will remain with us. More effective solutions.
Taxpayers and governments who have gone too far, as you know, dare to more drastic measures, and considering there are options that could solve the basic problem .. here are some, deserves the attention of the media:
1. The tax on financial transactions.
If children's shoes and boxes for lunch obkladyvayutsya almost 10% tax, the sale of financial services is still carried out with impunity. The idea of ​​a tax on financial transactions - the Tobin tax - for many decades is under wraps: but now he's teething. The European Commission has supported the plans of 10 states - including France, Germany, Italy and Spain - to start taxing in order to raise funds to fight the debt crisis. Sarah van Gelder, from the magazine Yes! He considers that this tax will not only help reduce the deficit, but also hit the recipients of the highest incomes and cool the speculative fever of Wall Street.
Saymon Torp, blogger-financier of France, leading figures of the Bank for International Settlements, showing the amount of US financial transactions almost $ 3 quadrillion in 2011. Taking into account the data from other sources, it displays the figure of $ 4.44 quadrillion. Even using a "conservative" estimate of $ 3 quadrillion, the tax is only 0.05% (1/20 of 1%) would be sufficient to get the $ 1.5 trillion a year - that completely replaces the tax on personal income and does not require any cost.
2. Focus on the coin with a trillion dollars.
If Republicans insist on the letter of the law, the Democrats would respond to their law. The Constitution says that Congress shall have power "pull the money" and "regulate the value, respectively," and there were no restrictions on the value created by the Congress of money, as pointed out by the chairman of the subcommittee on monetary circulation in 1980.
I offered a solution in the article "Debt Network" in 2007, when it was only a "strange idea". But after the 2008 banking crisis, this idea has attracted the attention of specialists. The Washington Post article on December 7 entitled "Can the two platinum coins to resolve the debt crisis?" Brad Plummer wrote that if Congress does not raise the debt ceiling - that is an integral part of the negotiations on the financial precipice - "some of their strange ideas can attract more attention. "
Ed Harrison at Credit Writedowns summed up thus:
Treasury to mint coins $ 1 trillion, or any desired stoimosti.Kaznacheystvo puts it on account of the Treasury buys FRS.Kaznacheystvo obyazatelstva.Izyatie obligations - such as the exchange of assets, as well as QE2.Rost reserve balances are not inflationary, as already manifested mitigation credits 1.0, QE 1.0 and QE 2.0.Eti actions of the Treasury does not create a new network of financial assets in the non sektore.Krizis ceiling predotvraschon.Plammer debt refers to Yale Law School professor Jack Bolkina confirming that she Coy scenario is quite legitimate. He also refers to Joseph Gagnon of the Peterson Institute for International Economics, says: "I like it. There's nothing obviously problematic from an economic point of view. " To the objection that this is a legal focus, which exposes to ridicule the law, Paul Krugman said: "It just sounds silly - but such behavior of Republicans in Congress. So why not answer them, using legal tricks? ".
3. Claim that the debt ceiling unconstitutional.
14 An amendment to the Constitution requires Congress to pay its debts on time and in full, and Congress does not know how much tax he will gather, as long as not all accounts are presented. debt ceiling bill was introduced, first held in 1917, and has since been revised several times. The constitution above, and follow her need.
4. Interest-free loans to the government's own central bank.
If the government to refinance its entire debt by the Fed, it can save almost half a trillion dollars a year in interest because the Fed makes allowances for the government. The recently announced monthly QE4 adds $ 45 billion to buy back government securities to the $ 40 billion of mortgage-backed securities, stated at QE3, but the timing end of the program is not specified; $ 45 billion a month - more than half a trillion per year. When added to the federal debt, which already holds the Fed, the entire $ 16 trillion federal debt could be redeem for 28 years.
This is not such a wild, untested idea. Interest-free loans from the central bank were taken by Canada in 1939-1974, 1946-1973 in France and Australia and New Zealand in the first half of the 20th century, with great effect, and without creating price inflation.
5. Conclusion in reserve part of the military.
If we look at past costs, it turns out - almost half of the federal budget goes to the military. The data speak for themselves.
6. Forgiveness of debt.
Economists Maykl Hadson and Stiv Kin found that the only way out of debt deflation is debt forgiveness. This can be achieved redemption Fed's $ 2 trillion in debt for student loans and other securities, asset-backed, and either write them down or refinance without interest or very low interest rates. If banks can borrow at 0.25% - this is why people can not?
7. Banks are owned by states and municipalities.
Municipal governments are on the brink of its own failure. Anne Larson at Dissent magazine denounces the practice of issuing loans greedy Wall Street, causing more and more municipalities are suffering across the country.
Predatory Wall Street action can be avoided ogranizovav municipal state-owned banks and local banks, which will use the public finances for the benefit of society. Profits return to local governments in the form of dividends. German researcher Margrit Kennedy has calculated that a stunning 40% of the cost of public projects - on average - go to interest payments. Municipal banks are reducing the cost of borrowing to pay interest to the government, along with other benefits, discussed in detail here.
To free the hostages and let come better times
It is said that the financial precipice holds Congress hostage demands of conservatives, but the real hostages - debt slaves of our financial system. The requirement for "financial responsibility" is used as an excuse to introduce sweeping austerity measures for the people - the measures by which to win 1% and 99% will be in the grip of debt.
The government did not require the financial responsibility of the failed financial sector. Instead, Congress showered him with hundreds of billions of dollars, and the Fed added another trillion. No obvious harm such measures did not cause an economy that lives better than drawn-EU belt. A couple of trillion dollars, aimed directly at the real, productive economy could give a significant growth.
According to Federal Reserve data for July 2010, the cash reserves were actually $ 4 less than in 2008 (reduction was in the shadow banking system, previously filed as the M3). This means that $ 4 trillion may be returned in cash reserves before the problem becomes general price inflation.
Samonavedonny crisis austerity differs from the genuine crisis, including unemployment, households crisis fattened military and unpayable debt. Cuts in social services, the sale of public assets and raising taxes does not heal the disease. Maintenance of a viable and productive economy requires a well timed jump to the new. The new economy requires new methods of public financing.

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This utility puts Stop Loss and Take Profit, invisible for the broker.

But keep in mind that the terminal must remain in operation.

Those. can not close off the computer or terminal.

In the tester utility to check the position of the very open and accompanies their feet.


  • Take Profit - Take-profit;

  • Stop Loss - Stop-Loss;

  • Slippage - Slippage;



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Friday, December 22, 2017

Bear Bull Impulse

Bear Bull Impulse

BBImpulse indicator is based on standard indicator Moving Average.

Input parameters:

  • maPeriod - period Moving Average;

  • maMODE - type Moving Average (0 = MODE_SMA; 1 = MODE_EMA; 2 = MODE_SMMA; 3 = MODE_LWMA);


Histogram green - uptrend, red histogram - downtrend.

Bear Bull Impulse

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Thursday, December 21, 2017

Pending orders on Forex

Pending orders on the Forex

Pending orders on
Forex used by many traders to trade the forex market. Important
understand the difference between the types of pending orders on the Forex to more
efficient use of their properties in the implementation of a trading strategy.

Deferred Forex warrant
- a trading order, a trader sends via their MT4 platform
broker for the purpose of purchase or sell a certain position when the obbem
the price of the pending order level.

That is to say, a trader may
determine in advance the price levels at which it plans to enter the market and
It will use for this pending orders on Forex. Installing deferred
order depends on the trader's intention to enter into specific points on the graph
the price of the currency pair. As a general rule, the intention of the trader to use the deferred
warrant, due to its trade strategy.

See Fig. 1 in the Annex

There are the following
types of pending orders:

Buy Limit - pending order to buy at
where the Ask price
It should reach the level of a pending order. In this case, the current exchange rate more
than the level of installation of a pending order. As a rule, this type of deferred
warrant used by traders with the desire to enter the market on the rebound from a key
support or resistance level with the aim to take the turning points, or enter
for the purchase in the end of the correction at the best prices.

Buy Stop - a pending order to buy,
who also works at the price of Ask, when the exchange rate approaches him. Wherein
the current exchange rate is less than the rate of installation of a pending order. Often
this type of a pending order are traders that plan to enter the
break of key levels of support and resistance for the purpose of hunting pulse
trend movements.

Sell ​​Limit - a pending order for sale
It works at the Bid price.
In this case, the current exchange rate is less than the level of a pending order. Basically,
similar type of pending order the trader's favor in the case of rebound
the level of support and resistance for the purpose of profitable to sell the currency at the most
top in the hope of a deep correction or reversal.

Sell ​​Stop - a pending order for sale,
which is also activated at the Bid price. In this case, current exchange rates compared to the level
pending order. This type of pending order is used to log on
breakdown of the level of support and resistance in a robust profitable to sell the currency on
pulse trend movement.

As you have seen from
describe the types of pending orders, there are two groups of pending orders: Stop and Limit. In this case, Stop orders help traders come on
the breakdown level and Limit
Order - on the rebound from the level. Thus, using different types of
pending orders, a trader can build a variety of tactics entry into the market,
as well as the combination of support already open positions.

How to install
pending order?

To install a deferred
orders should call in the platform MT4 window "New Order» (F9), and change the order type to
pending order.

See Fig. 2 in the Annex

In the new order you
You see the fields that must be filled for the opening of a pending order.

Symbol - a currency pair, you
chosen to trade. Be careful, because the newcomers at first always
overlooked by the symbol order opening and then wonder why not see at
price chart to its open position.

Obbem - obbem this position in lots.
Remember that a lot, if the type Standart trading account is $ 10. US for
every point of movement of the exchange rate.

Stop loss - is the level of the safety
order at which you commit a loss on your open
position. Stop loss can be delivered later, using the public modification
order terminal MT4 platform.

Take - is the level of the Target,
planned profit in points. Take Profit can also be supplied later if you
still undecided.

Comment - this field is necessary
disciplined trader for . In the comments, you can
write input the reason in the position briefly. comments field is reflected in the
MT4 terminal and, if necessary, it can be deduced in rezultatiruyuschem
Trade report (Statement).

Type - is a market or a pending order.
If you select a pending order, you can also choose another type and
pending order: Buy

For the price - is the price level at which
the pending order to be activated.

Expiration - this time the action
pending order. If it is not complete, the pending order will be hanging up
until you delete it. Sometimes a function of time is useful for
trader as to keep pending positions at night may not be safe.
Therefore, experienced traders put the pending orders to certain of their time
work, such as 12 hours, whereupon a pending order is canceled, and
trader night sleeping peacefully.

what are the possible
combination use pending orders?

Example 1: Work at
catch pulse movement currency pair at the exit of the flat. As soon as you
you can see that the price does not break its highs and lows for several hours
M15 chart for the chosen currency pair, you can already draw a horizontal levels
Support and resistance for the maximum and minimum price range.
Suppose that you are not sure which side of the flat will the exchange rate,
so you can use pending orders Buy Stop and Sell Stop with the aim to enter the flat sample
up and / or down.

Example 2. Using
deep correction. Surely you've seen a pattern when any
major currency pairs sharp pulse shoots up or down, and then
a few days adjusted slowly to a level 50% Fibonacci, or even
61.8%, and then continue to confidently strong movement towards
initial pulse. So, lazy traders often to catch these
deep corrections used graph H1 and the previous motion pulse
pull Fibonacci grid. At the same time they can put pending orders Buy Limit or Sell Limit on Fibonacci lines, depending
the intended direction of rebound from Fibonacci level.

EXAMPLE 3 Tactics
swing trading. Of course, to trade at swing trading strategies
pending orders, you need a great experience to calculate the setting levels "traps". The essence of swing trading tactics
simple: buy low and sell high, that is, buy low and sell
up. The main thing is the short dashes. To this end, the trader determines
larger timeframe fletovyh portion, such as H1, and already at or M15 M5
begin to set "traps". The term "trap" refers to all types of
pending orders: Buy

The work is conducted at the edges
price range: top place an order to retreat Sell Limit, bottom - Buy Limit. In the middle of the price range,
any selected area MA, you can put an order on breakdown: Buy Stop and Sell Stop with short goals to edge
price range, where there are limit orders. Thus, the released mesh
four types of pending orders that a trader periodically adds,
corrects and removes.

remember, that
use a swing trading strategy is only recommended when clamped, fletovyh
site movement of the exchange rate. When you exit from the flat price, the trader has either
resting or apply a strategy of working with the trend.

Thus, we
Our training article discussed the types of pending orders and learned their
put in MT4 terminal. Also, you may be inspired by examples from
combinations of placing pending orders and come up with a "lethal"
combination. In any case, we wish you good luck in business, come to us for
the following useful lessons.

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Wednesday, December 20, 2017



[EA] EMAGIC - is Advisor for MetaTrader (MT4), held for trading in two major currency pairs EUR / USD and GBP / USD. But customizing it also works well on other currency pairs. Expert complex contains a fully functional and precise mechanical trading strategy that requires a certain coolness.

  • It is based on standard indicators MT4 - "EMA" and "Stochastic Oscillator".

  • The strategy only works on the M5 timeframe.

  • Easy to set up and manage.

[EA] EMAGIC It has a number of unique features:

  • It can be configured to work with other currency pairs to choose from.

  • Has a setting money management and risk management.

  • Additional functions for testing the response of the different market situations.

Expert works completely automatically, but nevertheless we recommend to watch him. In other words, you can just run it and constantly monitor its performance. The market is unpredictable, and no fully automatic system can not cope with unexpected behavior of the market, especially in the macroeconomic news release situations.

The expert must be configured to work from 9:00 to 16:00 CET (FRANKFURT), i.e. since the beginning of the London session until the second hour of the NY session (14:30 CET - the usual time when the macroeconomic data released in the US).

Testing on historical data

Expert comes with a "factory" default settings that are suitable for use with the two major currency pairs - EUR / USD and GBP / USD. Please note that the test of any system on historical data will not be able to give you a reliable idea of ​​how it will work in real market conditions. We reserve the right not to comment on any results of backtesting.

Input parameters

  • EnableMM - include MMRisk function

  • MMRisk - the risk of a percentage of the funds in the account

  • FixedLot - a fixed position size

  • StopLoss - a fixed value of the stop-loss

  • TPOnSLRatio - SL (x) = the value of this factor TP

  • TrailStop - SL (x), this factor = Trailing Stop

  • SoundAlert - enable sound notification of the opening position

  • SoundName - an audio file that is used for sound notifications

  • PushAlert - include Push-Notification

  • EmailAlert - enable e-mail notification

  • AllowMultipleSignal - including numerous signals

  • MinTimeGap - the minimum time between two signals

  • PositionLimit - the maximum number of open positions

  • OpenReverse - expert opens the reverse position

  • OpenHedge - expert 2 open hedged positions

  • SetSLTPOnEntry - SL and TP are automatically

  • ProfitReached - upon reaching a certain position earnings:

  • ProfitLocked - move SL in minimal profit

  • MaPeriod - internal adjustment indicator MA

  • MaMethod - internal adjustment indicator MA

  • MaShift - internal adjustment indicator MA

  • MaAppleid - internal adjustment indicator MA

  • MinMADistance - the minimum distance from the MA to the open position

  • MaxMADistance - the maximum distance from the MA to the open position

  • StochKPeriod - internal settings Stochastic indicator

  • StochDPeriod - internal settings Stochastic indicator

  • StochSlowing - internal settings Stochastic indicator

  • StochMethod - internal settings Stochastic indicator

  • StochPrice - internal settings Stochastic indicator

  • TimeFilter - limit expert's work time

  • StartHour - internal computer clock - hour start

  • StopHour - internal computer clock - the end of the hour

  • MagicNumber - enter any number here.

  • TradeComment - enter any text here.

If you have already purchased the product

We ask you to send us a private message, we will send you a user manual describing the functions, as well as recommendations to trade on a live account, etc.


Antonin Skaryd - a private investor and analyst, software developer and founder of the company FUTURE ENTERPRISE.

[EA] EMAGIC - is fully functional and precise mechanical trading strategy that does not tolerate emotions, unconventional approaches to trade and thoughtless behavior of the trader. It has the exact entry and exit points.


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Tuesday, December 19, 2017

Asian stock markets fall tired

Asian stock markets fall tired and go up

Tuesday the main stock exchanges
Asia Pacific recovered from yesterday's shock, even
despite the threat of a Greek default.
The session was very volatile, but
It ended predominantly in green

  • Shanghai
    prosest much for shopping
    days lost almost 5%, but by the end of the day
    I jumped up and finished the session in positive territory
    to 5.55%.

    explain this rise in Beijing
    launched new measures to
    strengthening market confidence. For example,
    Yesterday it was reported that
    Government discusses suspension
    Shanghai in the near future to stop
    existing outflow liquidity
    the stock market. This led
    for some investors to ensure that
    buy back the securities and not to leave
    of them to participate in the IPO.
    Besides, the regulator has reduced China
    seven-day repo rate to 2.5%.

    Tuesday's races at the Shanghai Stock Exchange
    show very unstable
    investor sentiment. market experts
    It suggests that volatility will
    constant theme of the next few weeks.

  • Hang Seng
    rose, gaining 1.3%.

  • Nikkei
    he added
    0.6%. The Japanese index has played a part
    losses incurred on Monday.
    The top gainers were airline here
    which benefited from falling prices
    fuel. Japan
    Airlines added
    1.7%; ANA
    Holdings increased
    2.9%. Restoring the majority
    export-oriented companies
    also supported the exchange. automakers
    - Toyota
    Motor, Nissan, Honda -
    added from 0.6% to 1.2%.

    8.3% after announced its intention to
    to issue new shares for $ 3.6 million,
    to invest in one of its
    new directions.

  • Kospi
    he added
    0.7%. South Korean index departs from
    week low. among the leaders
    growth on Tuesday were companies that received
    profit from cheaper oil. Korean
    Air Lines added
    6.9%; Asiana
    Airlines rose

  • S P / ASX
    0.7%. There has been too volatile
    trade, during which, in the
    beginning of the session, the Australian index
    He collapsed to five-month low,
    but then I recovered. red
    pulled his area banks. Commonwealth
    Bank of Australia added
    0.5%; Westpak
    0.4%. In the resource sector, BHP
    Billiton increased
    capitalization 0.4%.

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In US unexpectedly increased number

In the US unexpectedly increased the number of unemployed, the analysts did not expect

US Department of Labor
today published a report, according to
that the number of last week
Americans who first applied for
unemployment benefits rose to 297
thousand. Experts expect decline
up to 275 thousand. In addition, the Ministry of
revised data of the previous week:. instead of 281 thousand 282 were filed
thousand. applications.

On average, the number of applications
in the last month rose to 279.5 thousand.,
first there were about 275 thousand. These weak
data on the labor market seem to indicate,
that there was a pause after a significant
improvements in recent years, believe
experts. But the data can also be
volatile because of the holiday (July 4
the country celebrated Independence Day), and
planned closure of car plants
for repairs.

Unemployment benefit
continue to receive 2.334 million Americans.
A week earlier there were 2.265 million.

Against the background of these reports
EUR / USD pair today
down - to 16:38 MSK, she traded
at 1.1057 (-0.18%).

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Monday, December 18, 2017

NW rebate

NW rebate

Advisor of the series Night Warrior.

It is working at night, opening and closing the large number of orders. The main pair - GBPUSD. Recommended timeframe - M5. EA trades based on indicators of several indicators, not a scalper.

Needs a broker with low spreads. Be sure to connect the return spread. You can start using it to $ 100.


  • Magic - a unique order number

  • Max spread - maximum spread

  • Slippage - Slippage

  • Max lot - maximum lot size

  • Lot - lot size

  • Auto lot - enable / disable the risk

  • Risk - the risk percentage

  • Start time - an hour of the opening of the order

  • Stop time - an hour late opening of the order

  • Time close order - hour forced the closure of all orders

  • Stop time minute - minutes late opening of the order

Testing from 01.01.2010 to 19.07.2016 has shown:

  • at the risk of 10% and the initial deposit $ 300 Advisor in the strategy tester has earned $ 15,518,421

  • rebate when calculating the total volume turned lots 1.543.362,86. When connected to the return spread 1 lot = 6 $. Total: 1.543.362,86 * 6 = $ 9.260.177,16

NW rebate

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United States of Europe France

United States of Europe: France wants to create, UK strongly opposed

Yesterday, the President of France
Fransua Olland wrote in an article in
French newspaper Journal du Dimanche, that all
19 countries that use the euro,
you need to create a separate government
accumulate a budget and choose the parliament.
According to his plan, it should restore
faith of Europeans in the euro zone project
which greatly weakened by the economic
the crisis in Greece. By the way, a similar
The proposal also recently expressed a former
European Commission President Zhak Delor, but in his
version was not a separate budget
and parliament.

Hollande wrote in the article,
that the greater threat is not
growth of the eurozone, and its incapacity - is necessary to strengthen the organization and
consider mechanisms to protect countries
outside the euro area. "Circumstances
forcing us to accelerate - says
Fransua Olland. - We are threatened too
much of Europe, and its absence".

By the way, the head of the ECB Mario
Draghi also said recently that members
Eurozone should cooperate more closely,
but Draghi suggested creating a common treasury
for 10 years.

It is clear that France
It not just resumed talks about
United States of Europe - on the one hand, the country is afraid
the repetition of Greek history is already at its
territory, on the other - President Hollande
He wants to stay in power at least until the end of
term (two years). France's problems,
it seems, will continue to grow because
dynamics and debt sustainability cause
big questions. Interesting statistics:
if we consider the performance of countries with debt
in terms of cost unsecured
liabilities as a percentage of GDP, in
the first risk are not
Spain or Italy, and the United States and France.
Behind them, surprisingly, is
Germany. Another interesting fact
- some of the possible candidates
Presidents of France, for example, Marine Le
Pen, say that France can solve
its problems only if "again
print French francs. "

If theoretically
to assess the future of the United States
Europe, then, most likely, the dominant
force there is Germany, and
other countries that are less economically,
They will be forced to do what they are told.
In fact - to voluntarily give
of sovereignty, that is, to do what he did Alexis Tsipras
for Greece.

But in the UK
categorically against the creation of the United
States of Europe. This, for example, stated
recently the founder of the largest private
UK firms. Moreover, he
general calls for the UK
withdraw from the EU, because "none
interested in the United States
Europe". He believes that the UK
It is fully capable of achieving success
independently. Dzhim Ratkliff, whose
chemical and manufacturing company
Ineos allow it to accumulate in the state 2.5 billion
pounds, she says: "I think,
UK will be successful as a
independent country, part of the European
market such as Norway and Switzerland, but without
EU costly bureaucracy.

"British fine
able to manage the British and
I need to Brussels told them how
act. I just do not believe in the concept of
United States of Europe. she does not
viable and it is not the concept,
which is really one wants.
British - is British, the Italians -
it is the Italians, the Germans - the Germans.
Look at America. Californians,
Texans - they see themselves as Americans,
as well as residents of New York, but this
It never will be in Europe. We - independent

He dismissed fears
that the UK will lose share of trade,
coming out of the EU: "European
countries do not want to be without the market
Great Britain. They will not sacrifice
this huge market, which is
right on their doorstep, it never
will not happen. We are interdependent
market sense".

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Thursday, December 14, 2017

Info Panel

Info Panel

Excellent "dashboard" which displays the following information about the symbol of the current chart:

  • The height of the current candle in pips;

  • The height of the current candle body in pips;

  • ATR value in pips on any timeframe that you choose;

  • Spread in pips;

  • Time in GMT;

  • Price (red color indicates that the price falls, green - growing).

You can change the panel anchor point, color, font size, and the timeframe during the ATR, as well as shift your broker's GMT time. The following parameters are used for this:

  • ATRTimeFrame - select a timeframe ATR (1, 5, 15, 30, 60, 240, 1440, 10080, 43200). 0 means the current chart timeframe.

  • ATRPeriod - period ATR. By default, 14.

  • GMTHoursOffset - offset (+/-) from your broker time. Default 2.

  • Corner - angle bindings. 0 - Left upper, 1 - upper right, 2 - left lower, 3 - right lower.

  • FontSize - font size of the text. Default 8.

Info Panel

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US markets closed in positive

US markets closed in positive territory yesterday, Twitter shares rose Bloomberg deception

Tuesday America Stock
completed on the rise. indexes went
up after the stock prices
chipmakers and biotechnology
companies, even despite weak reports
Retail sales in the United States. Today
market awaits Bernanke speech Janet
Yellen in the House of Representatives
US, tomorrow she will have in the Senate.

"I'm a little disappointed
Data on retail sales, so
rally in the market has surprised me - recognized
trader Themis Trading LLC Mark Kepner. - Maybe,
the rise of the basic interest rate
Fed, which many expect
in September, it will be postponed to a
later time. The market is likely to
will provide corporate reports.
So, the week started well thanks
rather strong statements JPMorgan".

By the closing bell yesterday
index Dow Jones Industrial Average rose 0.42%
Standard Poor's 500 - by 0.45%, while the Nasdaq Composite
rose to 0.66%.

Shares of JPMorgan Chase rose
1.4% when it was revealed that the net
Bank profits rose in the second quarter.
Shares of Wells Fargo rose 0.9% in the same reports
in the preceding quarter. The value of shares Micron
Technology Inc. It jumped by 11% when held
rumor that the Chinese state-owned company
Tsinghua Unigroup Ltd. He wants to buy American
manufacturer of memory chips for $ 23 billion.
Share prices of other chip makers
also climbed yesterday: SanDisk rose
on 3,4%, Avago Technologies - by 1.7%.

Shares of Johnson Johnson fell
by 0.5%, because the company's revenue
decreased 8.8% during the second quarter.
Shares of Coca-Cola Co. at the same time more expensive
1.3% when analysts at UBS have improved on
These recommendations.

Paper oil companies
grew on Tuesday after oil WTI.
Shares of Southwestern Energy and Halliburton rose
more than 1,6%, Chevron - 1%.

Interesting story
happened yesterday with Twitter Inc. shares, which
the closure showed an increase of 2.6%. During
Trading securities company instantly
up to 8% when held in the network
the information that it wants to buy
for $ 31 billion. But later the shares were down,
when it became clear that the news of the sentence
It was a hoax. Most interesting is that
market really believed that the source
News - Bloomberg News, because it was
posted on the website that looks like
The Bloomberg website. Moreover,
except for the terrible external similarity with the site
Bloomberg, the article even have a real name
Bloomberg author. A careful study
easy to figure out the deception: the site address
I began with instead
Also in the article, it was stated incorrectly
the name of Dick Costolo, former CEO
Twitter, which recently resigned.
Bloomberg's press secretary confirmed the publication
CNNMoney, that this story - "fake" and
she appeared on a fake site, not
related to the press-service.

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Wednesday, December 13, 2017

Why investors are categorically

Why investors are categorically not want to deal with the Swiss franc?

stress from
January jump franc fully
deprived investors' confidence in the Swiss
regulator. Funds, which in January
this year got burned on a strong jump
franc no longer work with this currency.
The last four years the Swiss
National Bank of holding back the franc in certain
borders, without giving him appreciate more
than 1.2 euro. But on January 15 the bank decided
to cancel this limitation, and later,
Franc hours rose by 40%
and caused panic in the other currency
markets, and some brokers have lost
a lot of money and were forced
completely stop their activities.

It was from that
Franc fateful day longer
It is not considered a stable currency
for funds. "Investors trust
Swiss National Bank, but
January decision to play against them, "
- says currency strategist at UBS Wealth
Management Constantin Boltz. UBS Wealth Management had
Instruments designed for stable
franc cost, but in January it
I had to record losses.

now become very cautious and
franc volatility generally fell to
zero. stability of exchange rate
near the mark of 1.05 francs per euro and to
dollar varies depending on the course
Euro. Now, when banks began to consider
Franc riskier currencies
commissions for increased by
40%. Trade turnover decreased by Fr.
tripled compared to last year
UBS data. "The risk managers
have questions franc - says
Managing Millennium Global Investments, Richard
Benson. - After the January jump they
I can not predict anything. "
Difficulties in assessing the risks and franc
uncertainty in the negotiations on
Greece repelled investors on
to make bets on the franc's fall.

The president
Swiss National Bank knew what to do -
He removed the containment strengthening
Franc just before the ECB announced
the beginning of a new incentive program
- QE. This news greatly dropped the euro, and,
to keep the franc from strengthening,
the country's central bank would have to buy
more euros. However, even
in spite of the jump in the franc at the beginning of the year,
in Switzerland it is still very strong
economy and stable financial
system. And even negative rates
not afraid of bold investors, even if the
they have to pay extra for yourself
placing money on deposit.

Last month,
when the market was waiting for a Greek referendum
demand for the franc rose again, and the central bank
I had to intervene to prevent
strengthening currency. However, no
official promises to keep the franc
at a certain level, the bank did not give,
and it is somewhat disappointed investors. "Trade
franc is difficult, - the chief
currency department Insight Investment Pol Lembert.
- On the one hand we have the central bank, and on the
other - capital flows. "

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Tuesday, December 12, 2017

America rose yesterday on good

America rose yesterday on good corporate reporting

Following the auction on
Thursday US stock indexes closed
in positive territory, stocks rose on positive
reports of major corporations in the region
and on good news from Greece. Index
Nasdaq Composite reached a record high,
reports Bloomberg.

The Dow Jones Industrial
Average yesterday grew by 0,39%, Standard Poor's 500
It rose by 0.8% and the Nasdaq Composite rose for the day

Yesterday the finance ministers
eurozone countries approved for Greece
bridge loan of 7 billion euros, which
It allows Athens to repay term debt
before the ECB and enable the country
stay afloat, while there is discussion
Parts of the third aid program.
Greece's parliament also approved yesterday
package of austerity measures, which are necessary
to start negotiations with creditors
a new program to bailout.

Such news reduced
the market fears that the country will
from the euro zone. "It seems that the stock
market liked the Greek agreement,
- says Senior Vice President
Trade in ICAP Plc Ron Anari. - Now
the main engine of the market will
Fed probably we will see an increase
rates in September, and the market share is
He understands. And expect more positive
economic news".

The sharp increase in the index
Nasdaq on Thursday was largely
due to the share price jump
Netflix Inc. 18%. Paper companies rose
on reports that the number of
subscribers video streaming service
in the last quarter it has grown and surpassed
analysts' expectations. Shares of eBay Inc. yesterday
rose by 3.4%, online auction
I made a profit in the last quarter
more than planned. Shares of Citigroup Inc. rose by 3.8%, when it became known that
Bank's net profit in the second quarter
It increased by almost 30 times.

the largest producer
Intel Corp. microprocessors in past
quarter has reduced net profit by
3.2%, but the result was better again
expectations. Shares of Intel jumped
0.7%. At the same time, securities
Microsoft Corp. and IBM Corp. up about

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New World Project MACD

New World Project MACD

Trend trading, scalping, hedging, martingale, multitaymfreymnaya and multicurrency work, money management, notification sound, as well as auto-correction transactions. All this offers a New World.

New World: MACD Project

MACD - is an indicator that is used in the advisor for transactions. As with any of my projects, MACD project has all the features such as automatic correction of transaction and transition from scalping to hedge or martingale.

Note: The Martingale can be used in the selection of scalping and trading in the same direction (ONE_DIRECTION_TRADING).

Project New World-MACD - a full-fledged adviser, including manual trading, indicators, trade with the trend, asset management, and multi-currency trading multitaymfreymnuyu. This allows it to trade with scalping or hedging or for intraday trading, with additional alarm functions for each closed transaction. All you need to do - adjust the settings according to the desired kind of trade.

New World calculates the lot size based on the desired amount of hedging transactions and the amount of risk. This is a new method of calculating the size of the lot to hedge, which simplifies the management of risk-return, which in turn reduces the stress in the trade.

parameters advisor

  • TRADE_STYLE - Scalping and Hedging

  • USE_LOT - Using the calculated or fixed lot size

    • EA_RECOMMENDED_LOT_SIZE - Use the lot size, designed New World based on the parameters entered.

    • YOUR_PREFERRED_LOT_SIZE - Use the lot size, user-defined

  • PREFERRED_LOT_SIZE - The lot size, user-defined

  • ALLOWABLE_SPREAD - allowable spread

  • ADDITIONAL_COMMANDS - additional commands

  • MAX_PAIRS_TO_TRADE - Number of simultaneously traded currencies.

  • SCALPING_OR_NO_HEDGING - Scalping or absence of hedging

  • MAX_ORDERS_NO_HEDGING - The maximum number of orders without hedging, select 1-5 trades a couple

  • TRADE_DIRECTION - The direction of trade, the choice of one-way trade (ONE_DIRECTION_TRADING) work is carried out as in Martingale

  • TP_PIPS_NO_HEDGE - The target level of pips to take profit. In scalping or day trading can be carried out depending on the target pips.

  • SL_CALCULATE_BY - Stop-loss as the sum or the number of pips

    • RISK_AMOUNT_PER_TRADE - risk per trade. * Please note, the risk for each transaction

    • SL_PIPS_NO_HEDGE - Stop loss in pips

  • TIME_DIFFERENCE_AFTER_TRADE - The pause between each transaction

  • PIPS_DIFFERENCE_EACH_TRADE - The interval between trades in pips

  • COMMISSION_AND_SWAP - Commission to take into account in the calculations and swap

  • HEDGING_PROPERTIES - properties hedging

  • TIMES_TO_HEDGE - Number of hedges

  • RISK_LEVEL - The level of risk. 1 - the lowest, 4 - the highest

  • RISK_AMOUNT_WITH_HEDGE - risk package

  • TP_PIPS_WITH_HEDGE - The number of pips for setting take profit in the first transaction

  • PIPS_TO_HEDGE - The difference in pips for hedging

  • PIPS_TO_BREAK_EVEN - Target pips for recovery loss when first transaction

  • CLOSE_WHEN_PROFIT - Closing at profits

    • TARGET_PROFIT - The amount of profit to close

    • TARGET_PIPS - Additional target pips to transfer to breakeven

    • TARGET_PIPS_ACCURACY - Allow NEW World changing precision take-profit and stop-loss. * Note: For powerful computers we recommend using a high accuracy

  • ADDITIONAL COMMANDS - additional commands

  • CLOSE_EXCESS_PAIRS - Closure of the excessive currency

  • TIME_BEFORE_TRADE_COMMENCE - Time to start trading

  • ORDER_CORRECTION - unnecessary Take Profit, Stop Loss and pending orders, as well as the intervention of an error on the part of the user will be automatically corrected for all transactions.

  • ALERT - enabling and disabling alerts

  • SHOW_COMMENT_STATUS - Show / hide status of the commentary

  • SHOW_COMMENT_PERIOD - Show / Hide comments period

  • SHOW_COMMENT_HEDGING - Show / Hide Comments hedging

  • TOTAL_TRADE_RISK_AND_PROFIT - Shared risk and reward when trading

  • TOTAL_RISK_AMOUNT - The total amount of all transactions which you are willing to risk. When the loss is greater than this value are automatically closed "ALL" of the transaction.

  • TOTAL_TARGET_PROFIT - The total amount that you want to get out of all trades. When profit is greater than this value are automatically closed "ALL" of the transaction.

  • MACD_PROPERTIES - MACD properties

  • FAST_EMA_PERIOD - a period of rapid EMA

  • SLOW_EMA_PERIOD - during the slow EMA

  • SIGNAL_PERIOD - signal peridium

  • PRICE - price

  • SHIFT_CURRENT - current offset

  • SHIFT_PREVIOUS - previous displacement

  • MA_PROPERTIES - properties of the moving average

  • MA_PERIOD - period moving average

  • MA_SHIFT_CURRENT - current position of the moving average

  • MA_SHIFT_PREVIOUS - previous displacement of the moving average

  • METHOD - method


    • MACD_CROSS_ZERO - use the MACD crossing

    • MACD_SIGNAL_CURRENT - use the current signal MACD

    • MACD_SIGNAL_PREVIOUS - use the previous signal MACD

    • MACD_OPEN_LEVEL - use open MACD level

    • MACD_MA_SIGNAL - use the moving average MACD signal

  • CHOOSE_ADDITIONAL_PIPS - Selecting additional pips

    • EDIT_ADDITIONAL_PIPS or MACD OPEN LEVEL from minute to month timeframe

  • CHOOSE_MA_TO_USE - The method used by the moving average

  • TIMEFRAMES_USED - Choosing timeframes

  • SPECIAL_COMMAND - When selecting Yes on 3 levels will automatically close all trades

    • CLOSE_LEVEL_1 - 1 closing level

    • CLOSE_LEVEL_2 - closing Level 2

    • CLOSE_LEVEL_3 - closing level 3

New World Project MACD


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Monday, December 11, 2017

Grand Options Trader Panel

Grand Options Trader Panel

The panel for the binary options on the basis of Meta Trader 4 Grand Capital is designed for comfortable and rapid opening deals exhibiting their parameters.

Thanks to our panel, you can easily specify the amount of the transaction and the time of expiration of the option and open a deal in a few clicks. Now you do not need to enter the settings manually! There is also a variety of settings issuing transaction: volume, pitch and other expiration, except for your convenience, you can customize the look of panel: full or compact.

Trade panel allows you to open an option in three steps

  1. We set the volume.

  2. Choosing a time. *

  3. Choose the option type. **

* The time is indicated in minutes

** Click on the button of the selected option.

Input parameters

  • Languages ​​- Select a language for the panel:

    • Terminal Language - the default setting. It specifies the language of the terminal. English or Russian.

    • English

    • Russian

  • ColorScheme - choice of color schemes:

    • BlackScheme - The default scheme.

    • Teal - additional circuitry, as desired.

  • Default_Step_Change_Volume - step changes the default volume.

  • Default_Step_Change_Expiration - step change the default expiration.

  • Default_Maximum_Deviation - default slippage.

Grand Options Trader Panel

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Friday, December 8, 2017

ATR on Realtime Deals

ATR on Realtime Deals

At the time of the transaction script records the value of the indicator Average True Range (ATR) and OHLC price bars.

For quantitative analysis of trade data are stored in .CSV file format. ATR indicator parameters are specified in the input parameters of the script. Information on the location of the file is displayed after stopping the script.

ATR on Realtime Deals

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Thursday, December 7, 2017

HighLow MT5

HighLow MT5

The indicator plots two lines of High and Low prices that meet certain criteria. Blue line - on the purchase. Red line - up for sale. The signal at the input - bar opens above \ below the line.

It works on all currency pairs and on all timeframes. Can
ready to use as a trading system or an additional signal
for his vehicle. The input parameters are missing.

As befits any signal indicator on the flat to use
it is extremely difficult. It is necessary to postpone the entrance, when the price is
between lines.

Link to this product for the MetaTrader 4:

HighLow MT5

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