TitanShield US30
- Experten
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Mosim Umar Nivasekar
📈 Trader & Analyst | 15+ Years in the Markets
💻 Algo Developer | MT5 Expert Advisors
🚀 MQL5 Marketplace Products ⬇️ - Version: 1.4
- Aktivierungen: 10
What Makes TitanShield US30 Different
Most US30 robots fail for one simple reason: they treat the Dow Jones like a forex pair. It isn't.
US30 has a personality — aggressive opens, violent geopolitical reactions, and a structural long-term bias that punishes short-sighted strategies. TitanShield US30 was built around that personality.
After 7.5 months of rigorous backtesting through the Iran–US war — one of the most panic-driven volatility events of the decade — TitanShield US30 delivers what serious traders demand: instant execution, controlled drawdown, and systematic recovery even when markets crash.
- Tested Through COVID, Tariffs, Iran-US Conflict & Russia-Ukraine War — Built for Real US30 Volatility
- Survived the Biggest Market Shocks of the Decade: COVID, Trade Wars, Geopolitical Crises & Extreme Volatility
- From COVID to Geopolitical Wars — Engineered to Handle US30's Most Violent Periods
- Dynamic Grid Logic Refined in the Fire of Real Crises: COVID, Tariffs, Iran & Ukraine Conflicts
US30 Rally Catcher Pro — Buy the Dips. Capture Every Rally. Never Miss a New High.
Backtested: January 2021 – August 2026 | Real Tick Data | 370%+ Net Profit
The Strategy — How It Actually Works
This is a long-only, instant-entry system built on one simple truth: US30 always comes back. The moment you attach this EA to your chart, it opens a buy trade immediately — no waiting, no signals, no indicators. It targets a small profit of 20 to 50 points, books it, and instantly re-enters with a new buy. This cycle repeats endlessly, ensuring you are always positioned to capture the next rally, every 500-point surge, every 1500-point breakout, and every new all-time high. You never sit on the sidelines. But what happens when US30 falls? This is where the Expanding Gap Grid comes in. The Expanding Gap Grid — Smarter Than Fixed Grids, Safer Than Martingale
Unlike dangerous fixed-grid EAs that pile on trades every 50 points, or martingale systems that double lot sizes until they blow up, this EA uses a progressive gap system that gives the market room to breathe.
Example: With First Grid Gap = 300and Add to Grid = 400:
- Trade 2 enters at -300 points
- Trade 3 enters at -700 points (300 + 400)
- Trade 4 enters at -1100 points (700 + 400)
- Trade 5 enters at -1500 points (1100 + 400)
The result? Even if US30 crashes 5,000 points, the EA adds trades sparsely and intelligently — never flooding the account with excessive positions. It calculates the average entry price across all open positions and exits the entire basket at your Main Take Profit level. The moment the basket closes, the EA instantly opens a fresh buy trade and the rally-capture cycle begins again.
Why This EA Wins
- Always in the Market — Instant entry means you never miss a rally. Small TP + instant re-entry = continuous profit harvesting.
- Long-Only US30 Logic — Built for an index with a structural upward bias. No short trades. No fighting the trend.
- Expanding Grid Protection — Grid gaps get wider, not tighter. This prevents the "death by a thousand cuts" that kills fixed-grid EAs.
- No Lot-Size Explosion — The grid adds trades based on price distance, not position multiplication. Your exposure stays controlled even in deep crashes.
- Auto-Recovery & Restart — When the grid hits average TP, everything closes profitably and a new cycle starts instantly. Set and forget.
- 5.5 Years of Proof — Backtested through the harshest volatility of the decade. Not curve-fitted. Crisis-tested.
Metric Result Initial Deposit $2,000.00 Total Net Profit $7,413.68 (+370%) Gross Profit $18,621.75 Gross Loss -$11,208.07 Profit Factor 1.66 Recovery Factor 2.38 Sharpe Ratio 0.83 Total Trades 1,908 Win Rate 85.53% Profit Trades 1,632 Loss Trades 276 Expected Payoff $3.89 per trade Max Balance Drawdown 42.66% ($1,437.98) Max Equity Drawdown 83.33% ($3,246.41) Largest Profit Trade $1,409.44 Largest Loss Trade -$531.10 Average Profit Trade $11.41 Average Loss Trade -$40.61 Max Consecutive Wins 8 ($1,427.89) Max Consecutive Losses 4 (-$1,437.98) History Quality 11% (Real Tick Data)
Tested Through COVID, Tariffs, Iran-US Conflict & Russia-Ukraine War — Built for Real US30 Volatility
Survived the Biggest Market Shocks of the Decade: COVID, Trade Wars, Geopolitical Crises & Extreme Volatility
From COVID to Geopolitical Wars — Engineered to Handle US30's Most Violent Periods
Dynamic Grid Logic Refined in the Fire of Real Crises: COVID, Tariffs, Iran & Ukraine Conflicts
US30 Rally Catcher Pro — Buy the Dips. Capture Every Rally. Never Miss a New High.
Backtested: January 2021 – August 2026 | Real Tick Data | 370%+ Net Profit
The Strategy — How It Actually Works
This is a long-only, instant-entry system built on one simple truth: US30 always comes back.
The moment you attach this EA to your chart, it opens a buy trade immediately — no waiting, no signals, no indicators. It targets a small profit of 20 to 50 points, books it, and instantly re-enters with a new buy. This cycle repeats endlessly, ensuring you are always positioned to capture the next rally, every 500-point surge, every 1500-point breakout, and every new all-time high. You never sit on the sidelines.
But what happens when US30 falls?
This is where the Expanding Gap Grid comes in.
The Expanding Gap Grid — Smarter Than Fixed Grids, Safer Than Martingale
Unlike dangerous fixed-grid EAs that pile on trades every 50 points, or martingale systems that double lot sizes until they blow up, this EA uses a progressive gap system that gives the market room to breathe.
Example: With First Grid Gap = 300and Add to Grid = 400:
- Trade 2 enters at -300 points
- Trade 3 enters at -700 points (300 + 400)
- Trade 4 enters at -1100 points (700 + 400)
- Trade 5 enters at -1500 points (1100 + 400)
The result? Even if US30 crashes 5,000 points, the EA adds trades sparsely and intelligently — never flooding the account with excessive positions. It calculates the average entry price across all open positions and exits the entire basket at your Main Take Profit level. The moment the basket closes, the EA instantly opens a fresh buy trade and the rally-capture cycle begins again.
Why This EA Wins
- Always in the Market — Instant entry means you never miss a rally. Small TP + instant re-entry = continuous profit harvesting.
- Long-Only US30 Logic — Built for an index with a structural upward bias. No short trades. No fighting the trend.
- Expanding Grid Protection — Grid gaps get wider, not tighter. This prevents the "death by a thousand cuts" that kills fixed-grid EAs.
- No Lot-Size Explosion — The grid adds trades based on price distance, not position multiplication. Your exposure stays controlled even in deep crashes.
- Auto-Recovery & Restart — When the grid hits average TP, everything closes profitably and a new cycle starts instantly. Set and forget.
- 5.5 Years of Proof — Backtested through the harshest volatility of the decade. Not curve-fitted. Crisis-tested.
| Metric | Result |
| Initial Deposit | $2,000.00 |
| Total Net Profit | $7,413.68 (+370%) |
| Gross Profit | $18,621.75 |
| Gross Loss | -$11,208.07 |
| Profit Factor | 1.66 |
| Recovery Factor | 2.38 |
| Sharpe Ratio | 0.83 |
| Total Trades | 1,908 |
| Win Rate | 85.53% |
| Profit Trades | 1,632 |
| Loss Trades | 276 |
| Expected Payoff | $3.89 per trade |
| Max Balance Drawdown | 42.66% ($1,437.98) |
| Max Equity Drawdown | 83.33% ($3,246.41) |
| Largest Profit Trade | $1,409.44 |
| Largest Loss Trade | -$531.10 |
| Average Profit Trade | $11.41 |
| Average Loss Trade | -$40.61 |
| Max Consecutive Wins | 8 ($1,427.89) |
| Max Consecutive Losses | 4 (-$1,437.98) |
| History Quality | 11% (Real Tick Data) |
Conservative Set
Last 7.5 Month
Table
| Metric | Result |
|---|---|
| Initial Deposit | $1,200 |
| Net Profit | $1,302.84 |
| Return | +108% |
| Profit Factor | 3.71 |
| Win Rate | 92.16% |
| Max Balance Drawdown | 9.47% |
| Total Trades | 51 |
| Sharpe Ratio | 7.67 |
Aggressive Set
Table
| Metric | Result |
|---|---|
| Initial Deposit | $2,000 |
| Net Profit | $5,543.55 |
| Return | +277% |
| Profit Factor | 1.50 |
| Win Rate | 73.13% |
| Max Balance Drawdown | 26.43% |
| Total Trades | 6,598 |
| Sharpe Ratio | 0.82 |
Backtest period: January 1, 2026 – August 15, 2026 | Real ticks, 100% quality | US30 M1 | Includes Iran–US war volatility
contact for setting input if required.
