Kaan Caliskan
Algorithmic Trading Engineer, Economist & Fund Manager | 13+ Years in the Markets
I manage private funds exceeding $1 million across FX and futures markets, delivering over 500% annual growth in 2025. Active in forex and futures since 2012, I combine hands-on fund management with advanced algorithmic trading — designing, coding, and deploying every strategy myself.
I hold a Master's degree in Economics & Finance and continue academic research in Behavioral Finance — the science behind irrational market behavior, herd mentality, and sentiment-driven price action. This academic foundation isn't just theoretical; it's embedded in every Expert Advisor and indicator I build.
My work sits at the intersection of quantitative finance, behavioral market theory, and robust software engineering. I design systems that read the market the way institutional traders do — through price action context, order flow dynamics, and Smart Money Concepts — then execute with the speed and discipline only automation can deliver.
What I Build:
Expert Advisors with advanced risk architecture — grid systems, scalpers, and adaptive strategies built for real-world volatility across FX, gold, indices, and crypto.
Technical Indicators that go beyond standard signals — harmonic pattern detection, liquidity mapping, multi-timeframe confluence scoring, and institutional order flow visualization.
AI-Enhanced Trading Systems integrating reinforcement learning and deep neural networks with classical market analysis.
Complete Risk Management Frameworks — dynamic position sizing, drawdown control, and portfolio-level exposure management.
Why My Tools Are Different:
Every product on my MQL5 Market portfolio is born from live trading experience managing real capital. These aren't academic exercises or backtest-optimized curve fits — they are battle-tested systems refined through years of live fund management. When I publish a tool, it's something I trust enough to deploy on accounts I'm personally responsible for.
My Engineering Philosophy:
Clean, optimized MQL5 code. Modular architecture. Extensive stress-testing across multiple instruments and market regimes. The same engineering discipline I apply to managing investor capital goes into every line of code I release.
Browse my portfolio — and feel free to reach out if you need a custom solution built to your exact specifications.
Charts & Ideen
Der Nutzer hat noch keine Handelsideen
Durchsuchen Sie vorgefertigte Handelsideen oder wählen Sie ein Symbol aus und verwirklichen Sie Ihre eigenen
Gehen Sie zu „Charts und Handelsideen“