MSX AI Multi Symbol Scalper v2.10 — EURUSD M15 Strategy Tester Report | August 2026
1. EURUSD M15 Historical Strategy Tester Study
This report presents a historical MetaTrader 5 Strategy Tester study of MSX AI Multi Symbol Scalper v2.10 on EURUSD M15 for August 2026.
The test uses Every tick based on real ticks, a $1,000 initial deposit and the EA's configured risk, margin-control, capital-allocation, partial-profit and session-management parameters.
The result is an individual EURUSD study within the broader 12-Symbol Strategy Tester Analysis Series. It should not be interpreted as a complete multi-symbol portfolio result.
2. Test Configuration
| Parameter | Configuration |
|---|---|
| Expert Advisor | MSX AI Multi Symbol Scalper v2.10 |
| Symbol | EURUSD |
| Timeframe | M15 |
| Test Period | 01–31 August 2026 |
| Forward Test | No |
| Initial Deposit | $1,000 |
| Leverage | 1:100 |
| Modeling | Every tick based on real ticks |
| Delay | 88 ms |
| Optimization | Disabled |
| Direction | Trade Both Side — BUY + SELL |
3. Key Trading & Risk Configuration
- Trade Only at New Trend Birth: False
- Limit One Trade per Trend: True
- Hard Reversal Exit: Enabled
- Soft Reversal Exit: Disabled
- Pullback Re-Entry: Disabled
- Maximum Spread Filter: Enabled — 12 points
- Maximum Slippage: Enabled — 2 points
- Lot Sizing Mode: Risk Percentage
- Risk per Trade: 3.0%
- Legacy Max Lot Cap: 0.05
- Free Margin Reserved: 33.33%
- Minimum Projected Margin Level: 200%
- Excessive Adaptive Lot Reduction Block: Enabled
- Maximum Adaptive Lot Reduction: 75%
- Per-EA Capital Limit: Enabled
- Percentage Capital Limit: Enabled
- Per-EA Capital Allocation: 20%
Trend Configuration
- HMA Period: 18
- HMA Smoothing: 5
- DSHA Period: 1
- Heikin Ashi Source: Enabled
- Source Price: Weighted Price
- SuperTrend ATR Period: 10
- SuperTrend ATR Multiplier: 2.2
- SuperTrend Source Price: Weighted Price
- ATR Spike Filter: Enabled
- ATR Spike Threshold: 2.2
- Trend Strength Calculation: Enabled
- Minimum Reversal Strength: 0.9
4. Hard Reversal Exit Configuration
The dedicated Hard Reversal Exit configuration used in this EURUSD M15 test was:
- Exit HMA Period: 18
- Exit HMA Smoothing: 5
- Exit DSHA Period: 1
- Heikin Ashi Exit Source: Enabled
- Exit Source Price: Weighted Price
- Exit SuperTrend ATR Period: 10
- Exit SuperTrend ATR Multiplier: 2.0
- Exit Source Price: Weighted Price
- Exit ATR Spike Filter: Enabled
- Exit ATR Spike Threshold: 2.0
- Reversal Strength Filter: Enabled
- Minimum Exit Reversal Strength: 0.5
5. Stop Loss, Take Profit & Partial Profit
- ATR-Based SL/TP: Enabled
- ATR Period: 14
- Stop Loss ATR Multiplier: 3.5
- Take Profit ATR Multiplier: 100
- Multi-Stage Partial Close: Enabled
- Partial Close Trigger: 2.75% of TP Profit
- Maximum Volume Closed per Step: 25%
Local EA Capital Protection
- Per-Trade Loss Limit: Enabled
- Maximum Loss per Trade: 2.0%
- Local Daily Loss Limit: Disabled
- Local Daily Profit Target: Enabled — 2.5%
- Local Maximum Drawdown: Disabled
Master Account Protection
The three account-wide Master Protection functions were disabled for this individual EURUSD Strategy Tester study:
- Account-Wide Daily Loss: Disabled
- Account-Wide Daily Profit: Disabled
- Account-Wide Drawdown: Disabled
6. Session & Weekend Configuration
- Full Fresh Start at Each Enabled Session: Enabled
- Block New Trades Near Session End: Enabled
- Entry Block Before Session End: 15 minutes
- Close Open Position at Session End: Enabled
Tokyo Session
- Enabled
- Start: 02:00 broker time
- End: 20:45 broker time
London, New York and Other Sessions were disabled for this test.
Weekend Protection
- Enabled
- Friday Protection Start: 20:45 broker time
- Block Entries Before Weekend: 15 minutes
- Sunday Trading Resume: 22:15 broker time
7. Note — Understanding the Multi-Symbol Portfolio Architecture
The EURUSD result shown here represents one symbol and one EA instance in the Strategy Tester.
MSX AI Multi Symbol Scalper can also be deployed through multiple EA instances across different symbols, timeframes and trading-direction configurations.
The Per-EA Capital Allocation setting works together with the EA's Free Margin Reserve, adaptive lot control and projected Margin Level protection. It is a dynamic margin-budget constraint rather than a separate cash balance permanently assigned to EURUSD.
The portfolio architecture can therefore operate dynamically:
Valid Setup → Margin Check → Position Opened → Partial Profit Event → Partial Volume Reduced → Margin Released → Another Valid Setup May Use Available Margin
An EA does not force a trade when the required margin conditions are not satisfied. Individual symbol results should therefore not simply be multiplied or added together to represent a portfolio result.
8. Strategy Tester Results
| Metric | EURUSD M15 |
|---|---|
| History Quality | 96% |
| Bars | 1,932 |
| Ticks | 695,632 |
| Symbols | 1 |
| Initial Deposit | $1,000.00 |
| Final Balance | $1,128.59 |
| Total Net Profit | $128.59 |
| Gross Profit | $273.49 |
| Gross Loss | -$144.90 |
| Profit Factor | 1.89 |
| Expected Payoff | $1.95 |
| Recovery Factor | 2.38 |
| Sharpe Ratio | 6.28 |
| Balance Drawdown Max | $43.33 (3.70%) |
| Equity Drawdown Max | $54.03 (4.57%) |
| Total Trades | 66 |
| Total Deals | 97 |
| Profit Trades | 52 (78.79%) |
| Loss Trades | 14 (21.21%) |
| Largest Profit Trade | $22.23 |
| Largest Loss Trade | -$14.56 |
| Average Profit Trade | $5.26 |
| Average Loss Trade | -$10.35 |
| Maximum Consecutive Wins | 12 ($74.06) |
| Maximum Consecutive Losses | 2 (-$27.17) |
| Average Consecutive Wins | 4 |
| Average Consecutive Losses | 1 |
9. BUY / SELL Activity
SELL Trades
- Total: 33
- Winning: 72.73%
BUY Trades
- Total: 33
- Winning: 84.85%
The Strategy Tester therefore recorded an equal number of BUY and SELL trades during this historical EURUSD M15 test period.
10. Historical Balance / Equity Curve
The Strategy Tester graph shows the historical balance and equity progression from the $1,000 initial deposit to the final tester balance of $1,128.59.
The graph also shows the intermediate fluctuations and drawdown periods during August 2026 rather than only the final result.
11. Strategy Tester Evidence
The following tester evidence is available for this EURUSD M15 study:
- Strategy Tester Settings — EURUSD M15, August 2026, real ticks, $1,000 deposit, 1:100 leverage and 88 ms delay.
- Strategy Tester Backtest Results — complete performance statistics.
- Strategy Tester Graph — historical Balance/Equity curve and Deposit Load.
- Inputs 1 — trading direction, execution, risk and Per-EA Capital Allocation.
- Inputs 2 — SuperTrend, trend filters, Hard Reversal Exit, SL/TP and Partial Profit settings.
- Inputs 3 — Local Protection, Master Protection, session and weekend configuration.
- Journal — selected execution records and final balance confirmation of $1,128.59.
12. Reproduce the Test
The historical test can be reproduced in MetaTrader 5 using the same EA version, symbol, timeframe, test period, tester model and configuration shown above.
Free Default .SET files are available for supported configurations.
For the corresponding default .SET file or configuration assistance, interested users may contact MSX AI Trading through MQL5 Private Chat.
13. 12-Symbol Strategy Tester Analysis Series
This EURUSD study is part of the:
MSX AI Multi Symbol Scalper — 12-Symbol Strategy Tester Analysis Series | Study, Compare & Evaluate
• BTCUSD • XAUUSD • USDJPY • USTEC • US500 • US30 • XAGUSD • ETHUSD • JP225 • USOIL • EURUSD • AUS200
The series examines individual symbols separately so that readers can study their historical Strategy Tester behavior, configurations and statistics before evaluating how the EA may be configured for a broader portfolio deployment.
14. Historical Study Disclosure
This report contains historical MetaTrader 5 Strategy Tester results only. It is not a live trading record, investment performance statement, guarantee, forecast or promise of future results.
Actual live trading can differ because of broker conditions, spreads, execution, slippage, liquidity, symbol specifications, market conditions, account conditions and other factors.
The reported EURUSD result should be evaluated as an individual historical test and not as a guaranteed portfolio outcome.
15. At a Glance
EURUSD M15 | August 2026
- Initial Deposit: $1,000
- Final Balance: $1,128.59
- Net Profit: $128.59
- Profit Factor: 1.89
- Total Trades: 66
- Profit Trades: 78.79%
- Balance Drawdown: 3.70%
- Equity Drawdown: 4.57%
- History Quality: 96%
- Modeling: Every tick based on real ticks
- Risk per Trade: 3%
- Per-EA Capital Allocation: 20%
- Partial Close: Enabled
- Hard Reversal Exit: Enabled
MSX AI Multi Symbol Scalper v2.10
MetaTrader 5 Multi-Symbol, Multi-Timeframe & Flexible Portfolio Trading EA
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