scalptime

Kaan Caliskan

10個以上の商品を販売済み
FX Trader & Hedge Fund Manager (Markvesting)
トルコ
https://kaancaliskan.com
All the products in my profile are for sale, complete with source code and all sales rights. If you are interested, please contact me via private message or at info@kaancaliskan.com.

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.

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