You can navigate the volatile forex market with confidence when you are equipped with the Trend Matrix EA. Utilize the Trend Matrix EA to transform your trading experience and increase your profits.

Trading Idea

Using Trend Matrix EA, traders can identify and profit from market trends. It offers a safe and reliable way to navigate the forex market with its Next Generation Loss Recovery System and reliable risk management tools.

Specifications

NFA and FIFO

Fully Compatible with no Hedging Problems.

License

Lifetime Membership for 1 Real Account/s and 3 Demo Account/s.

How to get the EA?

In order to gain access to Trend Matrix EA you have to buy one of FXAutomater's paid products from this page where you can choose one to purchase.

Broker /VPS Coupling

We recommend Installing Trend Matrix EA on TradingFX VPS Forex VPS and using it with Tickmill Forex Brokers for the best stability and profitability.

EA Installer

Easy installation and configuration are available via the Trend Matrix EA's quick-install wizard. There is no need for additional skills, tools, or downloads.

MT5 Version

An MT5 compatible version is included in the package.

Manual and Settings

FXAutomater, the EA developers, provide a user manual with detailed instructions how to download, install and configure. The also provide .set files and all a trader needs.

Help and Support

You can contact FXAutomater, the EA developers whenever you want, regardless of the type of question or problem you wish to report. They ensure that they will get back to you as soon as possible.

Future Updates

Trend Matrix EA is one-time payment and all future updates of Trend Matrix EA are completely free for you. You get life-time free updates and support.

Refund Policy

60-Day Money-Back Guarantee! You have 60 days to try Trend Matrix EA. Go for it! If it does not make profit for you, FXAutomater will return your money.

Supported Currency Pairs

AUDUSD, EURGBP, EURJPY, EURUSD, GBPJPY, NZDCAD, USDCAD, USDJPY, XAGUSD and Brent Crude Oil.

MetaTrader Chart Timeframe

H1

MyFxBook Verified Real Money Live Trading Result Statements

Started On
Sep 20, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+59.01%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Sep 20, 2023
Account Leverage
1:500
Profit Factor
2.23
Total Gain
+59.01%
Absolute Gain
+59.01%
Monthly Gain
26.91%
Daily Gain
0.75%
Total Pips
1,514.0
Total Trades
80
Profit Amount
$590.14
(%) Won Trades
1,514.0
Drawdown
21.62%
Started On
Oct 03, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+38.88%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Oct 03, 2023
Account Leverage
1:500
Profit Factor
2.87
Total Gain
+38.88%
Absolute Gain
+38.88%
Monthly Gain
24.62%
Daily Gain
0.67%
Total Pips
1,502.9
Total Trades
59
Profit Amount
$388.77
(%) Won Trades
1,502.9
Drawdown
9.22%
Started On
Sep 20, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+47.68%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Sep 20, 2023
Account Leverage
1:500
Profit Factor
1.88
Total Gain
+47.68%
Absolute Gain
+47.68%
Monthly Gain
22.18%
Daily Gain
0.63%
Total Pips
611.6
Total Trades
55
Profit Amount
$476.84
(%) Won Trades
611.6
Drawdown
18.32%
Started On
Sep 20, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+39.31%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Sep 20, 2023
Account Leverage
1:500
Profit Factor
6.09
Total Gain
+39.31%
Absolute Gain
+39.31%
Monthly Gain
18.80%
Daily Gain
0.54%
Total Pips
849.1
Total Trades
15
Profit Amount
$393.12
(%) Won Trades
849.1
Drawdown
5.57%
Started On
Sep 20, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+21.97%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Sep 20, 2023
Account Leverage
1:500
Profit Factor
2.25
Total Gain
+21.97%
Absolute Gain
+21.97%
Monthly Gain
10.87%
Daily Gain
0.32%
Total Pips
403.1
Total Trades
22
Profit Amount
$219.71
(%) Won Trades
403.1
Drawdown
17.27%
Started On
Sep 20, 2023
Leverage
1:500
Starting Balance
$1000
Total Gain
+26.07%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Sep 20, 2023
Account Leverage
1:500
Profit Factor
2.34
Total Gain
+26.07%
Absolute Gain
+26.07%
Monthly Gain
12.64%
Daily Gain
0.37%
Total Pips
1,554.0
Total Trades
77
Profit Amount
$260.65
(%) Won Trades
1,554.0
Drawdown
8.32%

99.9% Modeling Quality Dukascopy Tick Data Strategy Tester Backtests

Fixed Lots Backtests - AutoMM (Risk) = 0

View Full Backtest

Backtests Settings

Symbol
AUDUSD (Australian Dollar vs US Dollar)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters

-

Bars in test
3265
Ticks modelled
8350039
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
82.02
Gross profit
162.59
Gross loss
-80.57
Profit factor
2.02
Expected payoff
2.00
Absolute Bal DD
39.65
Maximal Bal DD
57.08 (0.57%)
Relative Bal DD
0.57% (57.08)
Total Trades
41
Short positions (won %)
16 (75.00%)
Long positions (won %)
25 (56.00%)
Profit trades (% of total)
26 (63.41%)
Loss trades (% of total)
15 (36.59%)
Largest Profit trade
23.79
Largest Loss trade
-16.15
Average Profit trade
6.25
Average Loss trade
-5.37
Maximum consecutive wins (profit in money)
7 (30.66)
Maximum consecutive losses (loss in money)
2 (-20.07)
Maximal consecutive profit (count of wins)
30.66 (7)
Maximal consecutive loss (count of losses)
-20.07 (2)
Avarage consecutive wins
2
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
EURGBP (Euro vs Great Britain Pound)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
-
Bars in test
3265
Ticks modelled
6588610
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
30.81
Gross profit
78.81
Gross loss
-48.00
Profit factor
1.64
Expected payoff
1.71
Absolute Bal DD
51.67
Maximal Bal DD
65.27 (0.65%)
Relative Bal DD
0.65% (65.27)
Total Trades
18
Short positions (won %)
7 (85.71%)
Long positions (won %)
11 (45.45%)
Profit trades (% of total)
11 (61.11%)
Loss trades (% of total)
7 (38.89%)
Largest Profit trade
26.95
Largest Loss trade
-16.48
Average Profit trade
7.16
Average Loss trade
-6.86
Maximum consecutive wins (profit in money)
3 (10.91)
Maximum consecutive losses (loss in money)
1 (-16.48)
Maximal consecutive profit (count of wins)
26.95 (1)
Maximal consecutive loss (count of losses)
-16.48 (1)
Avarage consecutive wins
2
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
EURJPY (Euro vs Japanese Yen)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
-
Bars in test
3265
Ticks modelled
22062366
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
-8.91
Gross profit
167.99
Gross loss
-176.89
Profit factor
0.95
Expected payoff
-0.17
Absolute Bal DD
398.76
Maximal Bal DD
405.63 (4.05%)
Relative Bal DD
4.05% (405.63)
Total Trades
52
Short positions (won %)
22 (59.09%)
Long positions (won %)
30 (46.67%)
Profit trades (% of total)
27 (51.92%)
Loss trades (% of total)
25 (48.08%)
Largest Profit trade
21.64
Largest Loss trade
-62.81
Average Profit trade
6.22
Average Loss trade
-7.08
Maximum consecutive wins (profit in money)
6 (30.84)
Maximum consecutive losses (loss in money)
3 (-76.22)
Maximal consecutive profit (count of wins)
30.84 (6)
Maximal consecutive loss (count of losses)
-76.22 (3)
Avarage consecutive wins
1
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
-
Bars in test
3265
Ticks modelled
12253376
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
59.82
Gross profit
242.26
Gross loss
-182.44
Profit factor
1.33
Expected payoff
1.20
Absolute Bal DD
253.85
Maximal Bal DD
267.80 (2.67%)
Relative Bal DD
2.67% (267.80)
Total Trades
50
Short positions (won %)
24 (70.83%)
Long positions (won %)
26 (26.92%)
Profit trades (% of total)
24 (48.00%)
Loss trades (% of total)
26 (52.00%)
Largest Profit trade
47.39
Largest Loss trade
-40.20
Average Profit trade
10.09
Average Loss trade
-7.02
Maximum consecutive wins (profit in money)
3 (14.01)
Maximum consecutive losses (loss in money)
3 (-40.14)
Maximal consecutive profit (count of wins)
51.59 (2)
Maximal consecutive loss (count of losses)
-40.20 (1)
Avarage consecutive wins
1
Avarage consecutive losses
2
View Full Backtest

Backtests Settings

Symbol
GBPJPY (Great Britain Pound vs Japanese Yen)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
-
Bars in test
3265
Ticks modelled
15453474
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
103.81
Gross profit
303.41
Gross loss
-199.60
Profit factor
1.52
Expected payoff
1.10
Absolute Bal DD
160.25
Maximal Bal DD
210.20 (2.09%)
Relative Bal DD
2.09% (210.20)
Total Trades
94
Short positions (won %)
44 (63.64%)
Long positions (won %)
50 (44.00%)
Profit trades (% of total)
50 (53.19%)
Loss trades (% of total)
44 (46.81%)
Largest Profit trade
29.04
Largest Loss trade
-32.81
Average Profit trade
6.07
Average Loss trade
-4.54
Maximum consecutive wins (profit in money)
4 (25.93)
Maximum consecutive losses (loss in money)
3 (-31.75)
Maximal consecutive profit (count of wins)
34.75 (3)
Maximal consecutive loss (count of losses)
-39.89 (2)
Avarage consecutive wins
1
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
NZDCAD (New Zealand Dollar vs Canadian Dollar)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters

-

Bars in test
3265
Ticks modelled
8959666
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
30.50
Gross profit
111.85
Gross loss
-81.35
Profit factor
1.37
Expected payoff
0.74
Absolute Bal DD
11.28
Maximal Bal DD
41.00 (0.41%)
Relative Bal DD
0.41% (41.00)
Total Trades
41
Short positions (won %)
15 (80.00%)
Long positions (won %)
26 (38.46%)
Profit trades (% of total)
22 (53.66%)
Loss trades (% of total)
19 (46.34%)
Largest Profit trade
17.16
Largest Loss trade
-17.49
Average Profit trade
5.08
Average Loss trade
-4.28
Maximum consecutive wins (profit in money)
3 (14.27)
Maximum consecutive losses (loss in money)
2 (-21.21)
Maximal consecutive profit (count of wins)
17.16 (1)
Maximal consecutive loss (count of losses)
-21.21 (2)
Avarage consecutive wins
1
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
USDCAD (US Dollar vs Canadian Dollar)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • MM="==== Risk Management ===="
  • FixedLots=0.01
  • AutoMM=0
  • AutoMM_Max=10
  • GS="==== General Settings ===="
  • LongTrades=true
  • ShortTrades=true
  • Magic=379154
  • MaxSpread=3
  • Slippage=2
  • EA_Comment="Trend Matrix EA"
  • BR="==== Broker Regulations ===="
  • NFA=false
  • No_Hedge=false
  • TL="==== Trading Logic Settings ===="
  • StopLoss=160
  • TakeProfit=320
  • BreakOut=12
  • BreakOut_Period=23
  • MarketMaxVolatility=192
  • MA_SlowPeriod=112
  • MA_FastPeriod=14
  • TradeOnMonday=false
  • TS="==== Trailing Stop Settings ===="
  • TrailingStop=0
  • TrailingStopAfter=31
  • TrailingStopStep=4
  • DynamicTrailingStop=10
  • Trailing_Period=18
  • NG="==== Next-Gen Recovery System ===="
  • NGRS=true
  • NGRS_After=41
  • NGRS_FixedLots=0.01
  • NGRS_RiskMultiplier=2.5
  • NGRS_TakeProfit=23
  • NGRS_StopLoss=2000
  • NGRS_AddOnSignal=true
  • NGRS_AllowedTrades=3
  • NGRS_Distance=115
  • NGRS_SignalLine=101
  • NGRS_SignalPeriod=14
  • NGRS_SignalTF=60
  • NN="==== Notifications ===="
  • EMAIL_Notification=false
  • PUSH_Notification=false
Bars in test
3265
Ticks modelled
8259133
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
39.89
Gross profit
156.07
Gross loss
-116.18
Profit factor
1.34
Expected payoff
0.75
Absolute Bal DD
69.46
Maximal Bal DD
78.62 (0.79%)
Relative Bal DD
0.79% (78.62)
Total Trades
53
Short positions (won %)
23 (65.22%)
Long positions (won %)
30 (46.67%)
Profit trades (% of total)
29 (54.72%)
Loss trades (% of total)
24 (45.28%)
Largest Profit trade
16.90
Largest Loss trade
-18.08
Average Profit trade
5.38
Average Loss trade
-4.84
Maximum consecutive wins (profit in money)
3 (11.40)
Maximum consecutive losses (loss in money)
2 (-21.50)
Maximal consecutive profit (count of wins)
17.30 (2)
Maximal consecutive loss (count of losses)
-21.50 (2)
Avarage consecutive wins
2
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
USDJPY (US Dollar vs Japanese Yen)
Period
1 Hour (H1) 2023.05.29 03:00 - 2023.11.28 23:00 (2023.05.29 - 2023.11.29)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
  • MM="==== Risk Management ===="
  • FixedLots=0.01
  • AutoMM=0
  • AutoMM_Max=10
  • GS="==== General Settings ===="
  • LongTrades=true
  • ShortTrades=true
  • Magic=379154
  • MaxSpread=3
  • Slippage=2
  • EA_Comment="Trend Matrix EA"
  • BR="==== Broker Regulations ===="
  • NFA=false
  • No_Hedge=false
  • TL="==== Trading Logic Settings ===="
  • StopLoss=160
  • TakeProfit=320
  • BreakOut=12
  • BreakOut_Period=23
  • MarketMaxVolatility=192
  • MA_SlowPeriod=112
  • MA_FastPeriod=14
  • TradeOnMonday=false
  • TS="==== Trailing Stop Settings ===="
  • TrailingStop=0
  • TrailingStopAfter=31
  • TrailingStopStep=4
  • DynamicTrailingStop=10
  • Trailing_Period=18
  • NG="==== Next-Gen Recovery System ===="
  • NGRS=true
  • NGRS_After=41
  • NGRS_FixedLots=0.01
  • NGRS_RiskMultiplier=2.5
  • NGRS_TakeProfit=23
  • NGRS_StopLoss=2000
  • NGRS_AddOnSignal=true
  • NGRS_AllowedTrades=3
  • NGRS_Distance=115
  • NGRS_SignalLine=101
  • NGRS_SignalPeriod=14
  • NGRS_SignalTF=60
  • NN="==== Notifications ===="
  • EMAIL_Notification=false
  • PUSH_Notification=false
Bars in test
3265
Ticks modelled
17119858
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
93.55
Gross profit
236.74
Gross loss
-143.19
Profit factor
1.65
Expected payoff
1.36
Absolute Bal DD
81.62
Maximal Bal DD
125.57 (1.25%)
Relative Bal DD
1.25% (125.57)
Total Trades
69
Short positions (won %)
30 (50.00%)
Long positions (won %)
39 (64.10%)
Profit trades (% of total)
40 (57.97%)
Loss trades (% of total)
29 (42.03%)
Largest Profit trade
29.85
Largest Loss trade
-34.21
Average Profit trade
5.92
Average Loss trade
-4.94
Maximum consecutive wins (profit in money)
5 (16.52)
Maximum consecutive losses (loss in money)
3 (-42.58)
Maximal consecutive profit (count of wins)
29.85 (1)
Maximal consecutive loss (count of losses)
-42.58 (3)
Avarage consecutive wins
2
Avarage consecutive losses
1

Trend Matrix EA Trading Strategy

XAGUSD, Brent Crude Oil (Brn) and NZDCAD are some examples of markets where Trend Matrix EA has proven to be very profitable and effective. As soon as the EA detects the right moment to enter and close a trade, it will open recovery trades which will help recover losses as soon as possible. Scalping is now possible safely using "high frequency" techniques, resulting in fast losses recovery and increasing profits every month.

Among all of the features and systems you need to trade successfully, Trend Matrix EA consists of money management, broker protection, spread protection, highly effective trading and exit logic, email and push notifications, trailing stop systems, etc.

Easy-to-use interface

Designed for both new and experienced traders alike, Trend Matrix EA is a well-rounded strategy. You can easily set up and customize the EA according to your preferences thanks to its user-friendly interface. All trading styles can be accommodated by Trend Matrix EA.

Managing risks comprehensively

FXAutomater's - the EA developers team and vendor - has assigned their top priority to keep their clients safe and worry-free. Among the tools available in Trend Matrix EA are:

  • Broker protection

    Keep the trades safe from broker-related issues.

  • Spread protection

    Ensure that trading results are not adversely affected by excessive spreads.

  • Slippage protection

    Ensure precise order execution by minimising slippage effects.

  • Static and Dynamic Trailing Stop System

    Exit positions with trailing stop losses based on fixed or dynamic parameters.

The trading risk is carefully managed when Trend Matrix EA is implemented.

Loss Recovery System of the Future

The Next Generation Loss Recovery System is Trend Matrix EA's crown jewel. Forex robots will no longer suffer from adverse market conditions thanks to the groundbreaking system. Trend Matrix EA thrives in unpredictable markets while others falter.

Using the Loss Recovery System, the EA can detect early signs of market reversals. As soon as it detects negative trades, the EA closes them and opens new ones in the opposite direction. Market conditions can be turned into profit opportunities with this clever technique, enabling moneymaking at any time.

Push notifications keep you informed

Push notifications from Trend Matrix EA will keep traders using it, aware of trading opportunities at all times. Keep up to date on significant market developments and EA actions with real-time alerts on traders' preferred device. No matter where they are, they'll stay up to date with the market.

Tailored trading options

The Trend Matrix EA provides forex traders with flexibility. The EA can be configured to trade "Only Longs" and "Only Shorts" depending on the trader's market outlook and the desired strategy. Trend Matrix EA adapts to the preset preferences, regardless of whether the trader using it is bullish or bearish.

Trailing Stop System

Trailing Stops adapt seamlessly to market movements. While allowing the capture of potential profits, profits can be locked in as the trades progress.

Since Trend Matrix EA is continually evolving, it is not a static product. As market conditions change and technological advancements advance, FXAutomater's team of experts continually updates the EA. Trend Matrix EA evolves along with the market, so you choose a product you can count on.

Trend Matrix EA Setting Parameters

  • Risk Management Settings

    • FixedLots - fixed trading volume (works if AutoMM1=0).
    • AutoMM - values greater than 0 (zero) activate automatic ММ (traded volume as a percentage of free margin).
    • AutoMM_Max - maximum allowed trading risk when Recovery Trade is opened.
  • General Settings

    • LongTrades - true/false to enable/disable the BUY(long) trades.
    • ShortTrades - true/false to enable/disable the SELL(short) trades.
    • Magic - magic number - it is extremely important to keep this different for all robots.
    • MaxSpread - maximal allowed spread for position opening.
    • Slippage - maximal allowed slippage for position opening.
    • EA_Comment - text which will be added as a comment to each trade opened by Trend Matrix EA.
  • Broker Regulation Settings

    • NFA - true/false - set "true" if your broker is NFA regulated.
    • No_Hedge - true/false - set "true" if you wish to cancel all hedge trades.
  • Trading Login Settings

    • StopLoss - Stop Loss in pips
    • TakeProfit - Take Profit in pips
    • BreakOut - breakthrough over the volatility borders in pips - a trigger value which would initiate a new trade
    • BreakOut_Period - the period of the volatility indicator
    • MarketMaxVolatility - this is the maximum allowed value of the current market volatility.
    • MA_SlowPeriod - slow moving average period value – this value is used for exit logic
    • MA_FastPeriod - fast moving average period value – this value is used for exit logic
    • TradeOnMonday - true/false - when it is true the robot will not trade on Monday’s, if it is false – it will trade on Monday’s(just to mark that the robot will trade if there are such trading opportunities)
  • Trailing Stop Settings

    • TrailingStop - if the value is greater then zero, the system will use same value as a fixed trailing stop. In this case the system will use a fixed trailing stop instead a volatility trailing stop
    • TrailingStopAfter - When Fixed_Trailing is greater than 0 (zero) and the current profit of the trade is greater or equal to Fixed_Trailing_After the robot will set a trailing stop to the trade equal to Fixed_Trailing parameter’s value.
    • TrailingStopStep - This is the step of the fixed trailing stop. When the difference between trade profit and the current stop loss is greater than Fixed_Trailing_Step the robot will move the trailing stop.
    • DynamicTrailingStop - volatility trailing stop multiplier, in case we use
    • Trailing_Period - period of the volatility trailing stop indicator.
  • Next-Gen Recovery System

    • NGRS - When this parameter is TRUE it means that Advanced Recovery System is enabled. FALSE means that it is disabled
    • NGRS_After - Value in pips. When the initial trade loss is equal or greater than this parameter's value then the EA starts the recovery process. It closes the initial trade and open opposite trade. For example, if the initial trade is BUY the EA will open SELL and vice versa
    • NGRS_FixedLots - Lot size of the recovery trades. Work only when NGRS_RiskMultiplier = 0.
    • NGRS_RiskMultiplier - This is a multiplier. Works at values greater than 0. Example: if the lot size of the initial trade is 0.1 lot and if NGRS_RiskMultiplier's value is 2 then the recovery trades will be opened with 2 x 0.1 = 0.2 lots. When NGRS_RiskMultiplier has a value greater than 0 then the parameter NGRS_FixedLots is not used!
    • NGRS_TakeProfit - Value in pips. The EA will close all opened recovery trades when their total profit is equal or greater than NGRS_TakeProfit value.
    • NGRS_StopLoss - Value in pips. The EA will close all opened recovery trades when their total loss is equal or greater than NGRS_StopLoss value.
    • NGRS_AddOnSignal - If its value is TRUE then the EA will open additional recovery trades based on an indicator signal.
    • NGRS_AllowedTrades - Maximum allowed number of recovery trades.
    • NGRS_Distance - Value in pips. The distance between each recovery trade
    • NGRS_SignalLine - Border line of CCI. When CCI value crosses the border line the EA may open recovery trades.
    • NGRS_SignalPeriod - The period of CCI indicator.
    • NGRS_SignalTF - The time frame of CCI indicator.
  • Notifications Settings

    • EMAIL_Notification - true/false - enable/disable email notifications.
    • PUSH_Notification - true/false – enable/disable push notifications to mobile phones.

Risk

Forex trading can involve the risk of loss beyond your initial deposit. It is not suitable for all investors and you should make sure you understand the risks involved, seeking independent advice if necessary.

Forex accounts typically offer various degrees of leverage and their elevated profit potential is counterbalanced by an equally high level of risk. You should never risk more than you are prepared to lose and you should carefully take into consideration your trading experience.

Past performance and simulated results are not necessarily indicative of future performance. All the content on this site represents the sole opinion of the author and does not constitute an express recommendation to purchase any of the products described in its pages.