Prism Breakout Pro
- Experten
- VALU VENTURES LTD
- Version: 2.1
Prism Breaker Pro V2 – Multi-Symbol Portfolio Range Trading System
Prism Breaker Pro V2 is a professional range breakout trading system featuring sophisticated portfolio management, multi-symbol support, and advanced risk controls. It is designed for traders seeking to capitalize on market range breakouts across multiple currency pairs simultaneously.
Key Features
Advanced Range Trading Strategies
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Simple Breakouts: Clean price action breakout entries.
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Confirmed Breakouts: Multi-filter validation system for improved accuracy.
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Retest Breakouts: Entries on institutional-style pullbacks to broken levels.
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Dynamic Range Detection: Time-based range calculation.
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ATR-Based Range Filters: Volatility-adjusted validation for breakout signals.
Multi-Symbol Portfolio Management
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Simultaneous Trading: Supports up to 5 currency pairs (e.g., EURUSD, GBPJPY, EURJPY, GBPUSD, AUDJPY).
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Symbol-Specific Settings: Individual take profit and stop loss multipliers per pair.
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Correlation Filtering: Helps avoid overexposure to correlated pairs.
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Portfolio Risk Limits: Maximum total portfolio risk control.
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Real-Time Dashboard: Live performance tracking for all symbols.
Smart Confirmation System
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Volume Analysis: Breakout volume validation.
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Momentum Filters: RSI, Stochastic, and MACD confirmation.
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Trend Alignment: Moving average trend filtering.
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Candle Close Confirmation: Aims to eliminate false breakout signals.
Professional Money Management
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Six Money Management Modes: Fixed lots, risk percentage per trade, portfolio equal weight allocation, performance-based allocation, fixed lots per capital, and fixed risk amount.
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Advanced Compounding System: Three modes - Conservative (no compounding), Moderate (balance-based), and Aggressive (equity-based).
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Dynamic Balance Calculation: Compounding-aware risk sizing.
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Maximum Equity Risk Protection: Safety limit override feature.
Institutional Risk Controls
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Portfolio-Wide Risk Limits: Maximum total exposure control.
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Symbol Position Limits: Prevents overtrading on single pairs.
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Time-Based Trade Management: Session-specific trading controls.
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Correlation Risk Management: Avoids taking correlated positions.
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Anti-Hedging Protection: Prevents opposing positions on related symbols.
Professional Trade Management
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Smart Breakeven System: Automatically locks in profits.
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Advanced Trailing Stops: Points, ATR, or percentage-based trailing.
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Time-Based Exits: Automatic position closing based on time rules.
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Friday Exit Protection: Weekend risk management feature.
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Multiple TP/SL Calculation Methods: Flexible exit strategies.
Technical Specifications & Requirements
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Platform: MetaTrader 5 only.
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Minimum Deposit: $1,000 recommended ($2,500+ for optimal performance).
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Optimized Pairs: EURUSD, GBPJPY, EURJPY, GBPUSD, AUDJPY.
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Timeframes: Works on all timeframes (M1 recommended for range detection).
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VPS: Recommended for 24/7 operation.
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Broker: Low spread broker preferred.
Key System Features
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Range Time Windows: Customizable range calculation periods.
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Multiple Entry Buffers: ATR-dynamic or fixed point buffers.
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Symbol-Specific Optimization: Individual settings per currency pair.
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Real-Time Portfolio Dashboard: Live P&L and performance metrics.
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Comprehensive Trade Frequency Controls: Prevents overtrading.
Dashboard & Monitoring
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Real-time portfolio statistics.
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Individual symbol performance tracking.
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Compounding mode display.
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Risk utilization monitoring.
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Active range status per symbol.
Important Disclaimers
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Designed for experienced traders familiar with range trading concepts.
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Requires understanding of multi-symbol portfolio management.
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Past performance does not guarantee future results.
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All trading involves substantial risk of loss.
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Proper risk management is essential for long-term success.
