Penerangan
Bot dagangan canggih ini menggabungkan yang terbaik dari dua dunia: konsep Smart-Money moden dan analisis teknikal yang terbukti.
Ciri Utama:
- Sistem kualiti pintar menilai setiap dagangan (0-100%)
- 15+ penunjuk yang diselaraskan (EMA, RSI, ADX, MACD, Stochastik, CCI, MFI, Bollinger Bands, ATR, OBV)
- Analisis Multi-Timeframe dengan pengesahan Higher-Timeframe
- Konsep Smart-Money: Blok Pesanan, Sweeps Likuiditi, Analisis Struktur Pasaran
- VSA (Analisis Sebaran Isipadu) & Pengenalan Corak Candlestick
- Integrasi VWAP untuk sokongan/rintangan intrahari
- Logik Adaptif: Pengecaman tren/jangkauan automatik dengan strategi yang dioptimumkan
Pengurusan Risiko pada tahap institusi:
- Saiz posisi dinamik berdasarkan volatiliti ATR
- Pengiraan stop-loss pintar dengan had min/maks
- Pencetus break-even & trailing stop berasaskan ATR
- Had kerugian harian dengan auto-shutdown
- Perlindungan drawdown secara automatik mengurangkan risiko
- Penapis spread & keluar berdasarkan masa
Lebih 90 parameter yang boleh disesuaikan membolehkan penalaan sempurna mengikut gaya dagangan anda. Dioptimumkan untuk dagangan beli dengan fokus pada kualiti berbanding kuantiti.
AMARAN RISIKO: Perdagangan pertukaran asing, CFD dan instrumen kewangan leverage lain membawa risiko tinggi dan tidak sesuai untuk semua pelabur. Anda mungkin kehilangan lebih daripada deposit anda. Prestasi lalu bukan petunjuk keputusan masa depan. Bot dagangan ini adalah sistem automatik tanpa jaminan kejayaan. Uji strategi secara meluas dalam mod demo sebelum menggunakan wang sebenar. Gunakan hanya modal yang anda mampu kehilangan. Tiada nasihat pelaburan – berdagang atas risiko sendiri.
This sophisticated trading bot combines the best of both worlds: modern smart money concepts and proven technical analysis.
Key features:
Intelligent quality system evaluates each trade (0-100%)
15+ synchronised indicators (EMA, RSI, ADX, MACD, Stochastics, CCI, MFI, Bollinger Bands, ATR, OBV)
Multi-timeframe analysis with higher-timeframe confirmation
Smart money concepts: order blocks, liquidity sweeps, market structure analysis
VSA (volume spread analysis) & candlestick pattern recognition
VWAP integration for intraday support/resistance
Adaptive logic: automatic trend/range detection with optimised strategies
Institutional-level risk management:
Dynamic position size based on ATR volatility
Intelligent stop-loss calculation with min/max limits
Break-even trigger & ATR-based trailing stop
Daily loss limit with auto-shutdown
Drawdown protection automatically reduces risk
Spread filter & time-based exits
Over 90 customisable parameters allow for perfect fine-tuning to your trading style. Optimised for buy trading with a focus on quality over quantity.
RISK WARNING: Trading foreign exchange, CFDs and other leveraged financial instruments carries a high level of risk and is not suitable for all investors. You may lose more than your deposit. Past performance is not an indicator of future results. This trading bot is an automated system with no guarantee of success. Test the strategy extensively in demo mode before using real money. Only use capital that you can afford to lose. No investment advice – trade at your own risk.
Ringkasan
Risk management is designed at an institutional level, featuring dynamic position sizing based on ATR volatility, intelligent stop-loss calculations with minimum and maximum limits, break-even triggers, ATR-based trailing stops, daily loss limits with auto-shutdown, drawdown protection that automatically reduces risk, spread filters, and time-based exits. Over 90 customizable parameters allow users to fine-tune the bot to their trading style, with a focus on buy trading emphasizing trade quality over quantity.
This bot is intended for trading leveraged instruments such as forex and CFDs and requires careful testing in demo mode before live deployment. It operates without guaranteed success and should be used with capital that traders can afford to lose.
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