MT5 Expert Advisor Complete A - Z Professional Specification (High win rate + Prop Firm Safe)

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Execution time 6 hours
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Outstanding client! Jay provided clear instructions and great communication. Highly recommended, and I look forward to our next project together!
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Specification

Hi Developers,  

I hope you’ll doing well.  

I’m sharing a complete and final MT5 Expert Advisor (EA) specification. This EA is designed to be high-probability, risk-controlled, and prop firm compliant, with adaptive intelligence and multi-strategy capability.  

It must be robust enough to handle small account flipping, standard trading, and prop firm accounts ($10k–$200k+), while prioritizing account protection and consistency over aggressive risk.  

---

# MT5 EA – FULL SPECIFICATION (FINAL VERSION)  

## 1. Core Strategy Framework
The EA must support and scan the following strategies:

1. EMA Trend (20/50 crossover + retest)  
2. Support & Resistance (HTF zones + LTF confirmation)  
3. Breakout Strategy (range breakout + retest)  
4. Smart Money Concepts (BOS, Order Blocks, FVG, Breaker Blocks)  
5. Advanced Liquidity Sweep (stop hunts + reversal confirmation)  

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## 2. Session-Based Strategy Selection (CRITICAL)
- EA must scan all strategies per session  
- Select ONLY ONE strategy per session  
- Selection based on:  
  - Highest win rate  
  - Best recent performance  
  - Market condition (trend/range/volatility)  

- Once selected → ONLY that strategy trades for the session  

- Optimized primarily for XAUUSD, but configurable for other pairs  

---

## 3. Higher Timeframe Confirmation
- Confirm trend direction using H4 / H1  
- Only trade in direction of higher timeframe bias  
- Lower timeframe (M15–M5) used for entry  

---

## 4. Entry Confirmation
Trades must meet at least one:

- Engulfing candle  
- Pin bar / rejection candle  
- Structure confirmation (BOS / liquidity sweep)  

Entries must align with:
- Trend direction  
- Selected strategy  
- Market condition  

---

## 5. RR-Based Trailing Stop System (MANDATORY)  
- Fixed Take Profit: 1:5 RR  

Stop Loss must move as follows:  
- 1:2 RR → Move SL to Break-even  
- 1:3 RR → Move SL to 1:2  
- 1:4 RR → Move SL to 1:3  
- 1:5 RR → TP Hit  

- No partial closes  
- One full position managed dynamically  

---

## 6. Prop Firm Mode (STRICT RULES)  
- Risk per trade: 1% fixed  
- Max open trades: 1  
- No stacking allowed  
- Max margin per trade: 55%–65%  

Protections:
- Daily loss limit: 3–5%  
- Weekly loss limit: 5–10%  
- Max trades/day: 3–5  

---

## 7. Flipping Mode (Small Accounts)  
- Stacking allowed (configurable 3–5 trades)  
- Trades added only when in profit direction  
- Must respect global risk limits  

---

## 8. Dynamic Risk Scaling
- Use ATR (volatility-based)  
- High volatility → reduce risk  
- Normal volatility → normal risk  

---

## 9. Market Condition Filter
EA must detect:
- Trending market  
- Ranging market  
- High volatility  

Then:
- Use EMA + SMC for trends  
- Use S&R for range  
- Avoid trading in extreme volatility  

---

## 10. Liquidity Sweep Detection
- Detect stop hunts above/below highs/lows  
- Wait for confirmation before entry  
- Avoid false breakouts  

---

## 11. Trade Filters (CRITICAL FOR SAFETY)  
- Spread filter  
- Slippage filter  
- News filter (optional)  
- Time/session filter  
- Trade cooldown (3 candles or X minutes)  

---

## 12. Loss Streak Protection
- After 3–5 consecutive losses:  
  - Reduce risk OR  
  - Pause EA temporarily  

---

## 13. Adaptive Strategy Intelligence
- Track each strategy:
  - Win rate  
  - Profit  
  - RR performance  

- Automatically:
  - Prioritize best-performing strategy  
  - Disable weak strategies temporarily  
  - Reactivate after cooldown  

---

## 14. Trade Correlation Filter
- Avoid multiple trades on correlated pairs  
- Especially important for USD-based pairs  

---

## 15. Early Exit Logic (Advanced Protection)
Optional but recommended:  
- Exit trade early if:  
  - Market reverses strongly  
  - Structure breaks against position  

---

## 16. Margin & Risk Protection
- Hard cap on margin usage  
- Stop trading if margin exceeds limit  
- Prevent over-leveraging  

---

## 17. Dashboard & Trade Journal (MANDATORY)  

### On-Chart Dashboard Must Show:
- Current trend  
- Active strategy  
- Open trades
[17/03/2026 08:25] Official Jay’Bee 001: - RR level  
- Risk %  
- Margin usage  

### Trade Journal Must Record:
- Symbol  
- Entry & exit time  
- Entry price  
- Stop loss & TP  
- Lot size  
- Risk %  
- Strategy used  
- Reason for entry  
- RR achieved  
- Profit/Loss  

### Analytics:
- Win rate per strategy  
- Profit factor  
- Avg RR  
- Max win/loss streak  

---

## 18. Strategy Confidence System
- Each trade must meet a minimum confidence score  
- Based on:
  - Confluence  
  - Trend alignment  
  - Strategy strength  

Only execute high-probability trades  

---

## 19. Final Objectives

The EA must:  

- Trade high-probability setups only  
- Protect capital at all times  
- Be fully prop firm compliant  
- Adapt to market conditions  
- Use RR-based trailing stop (1:2 BE → 1:5 TP)  
- Trade one strategy per session  
- Provide full transparency via dashboard & journal  

---

Please review this full specification and confirm if everything is clear. Let me know if you need clarification before development begins.  

I’m aiming for a professional, high-performance EA with strong risk control and consistent results, not an aggressive or unsafe system.  

Looking forward to your feedback and timeline.  

Best regards,  
Ajibola

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