Portfolio Sun MT5

This PORTFOLIO of 5 strategies has been developed, tested and traded live on USDJPY H4 TF. 

Multiple EAs traded together will lead to a bigger profits and smoother equity curve.

5 not correlated EAs logics for USDJPY H4 merged to a single strategy. Very SIMPLE STRATEGIES with only FEW PARAMETERS. Every trade has his own logic for STOP LOSS. To catch the profits every strategy uses different approach - some has TAKE PROFIT, some uses TIME BASED EXITS or PROFIT TRAILING.

  1. EA has been backtested on more than 17-year long tick data with 99% quality of modeling and verified on 30-year long M1 data.
  2. Everything is already set up for USDJPY H4 timeframe. There is no need to set up parameters, all settings are already optimized and fine-tuned.
  3. You need to set only the Fixed Lotsize (or Risk Fixed % Of Balance) depending on the amount of capital in relation to the expected risk
  4. At 7:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust this time to your broker time. Preset values are for UTC+2 only!!!

DETAILED STATEMENT FOR THE WHOLE PORTFOLIO - http://www.quantcommunity.net/ptfs/Portfolio_SUN.html

SAMPLE OF THE TRADING LOGICS - https://youtu.be/etIBujBFD6Y

For every candle the pending orders are modified to adapt the market behavior. The enclosed screenshots demonstrate the complexity and coverage of the tests which every strategy of mine must fulfill:

  • System parameter permutation - method how to reasonably estimate the long-run expected performance of a trading system.
  • Correlation check - to the portfolio are added only noncorrelated strategies with different logics. So the equity curve of the portfolio is smoother and profits are bigger.
  • IS/OOS tests.
  • Slippage test.
  • Test on another market to verify the edge.
  • Test on lower and higher timeframe.
  • Monte Carlo Robustness tests:
    • Simulations of Randomize trades order.
    • Randomly skip trades.
    • Randomize strategy parameters.
    • Randomize history data - volatility change.
    • Sensitivity for spread and slippage.
  • Walk forward matrix - verify how the strategy is adaptable to a big range of market conditions.

My recommendation is to have a look at the rest of my products, because the benefits of portfolio are diversification through the markets, timeframes, etc. Portfolio of strategies works better together in combination.

A broker with a small spread and slippage is recommended for better performance. There is no need to use a large account.

Features:

  • Each trade is protected by Stop Loss.
  • No martingale, no grid, no scalp, no hedge, no latency, no arbitrage.
  • No excessive consumption of CPU resources.
  • User-friendly settings.
  • All settings optimized.
  • Long-term strategy.

If you have any questions, please contact me before buying.

Settings:

  • CustomComment = Portfolio SUN - custom comment used in Account History tab in the MT platform for future analysis.
  • UseMoneyManagement = false/true - if you want to trade only fixedlots use FALSE. If you want to risk % of balance you need to set this to TRUE.
  • mmRiskPercent = 1 - If UseMoneyManagement is set to TRUE, you set the risk in Fixed Percentage of balance.
  • mmLotsIfNoMM = 0.01 - If UseMoneyManagement is set to FALSE, you set the Fixed Lotsize here.
  • FridayExitTime = 19:00 - Every trade will be closed at this time every Friday to prevent weekly gaps. This time is UTC+2, adjust this time by your broker timezone.


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Adaptive Gold Scalper Important Pre-notice: This strategy requires a long period of practical verification, and favorable trading returns cannot be guaranteed in the short run. Traders must select brokers with ultra-low order latency, minimal slippage and zero/low stop level requirement; poor broker conditions will lead to disastrous trading results. I have over 14 years of professional trading experience. With proper brokerage conditions and sufficient running time, this fully automated scalpi
Pivot Breakout
Vladimir Lekhovitser
Live Trading Signal Public real-time monitoring of trading activity: https://www.mql5.com/en/signals/2391560 Official Information Seller profile Official channel User Manual Setup instructions and usage guidelines: View user manual This Expert Advisor is built around one of the simplest and most recognizable trading concepts: Pivot Breakout. The strategy focuses on identifying potential trading opportunities when the price breaks through predefined pivot levels, which may indicate the
Iron Stops
Fajar Dicky Firmansyah
4.01 (73)
100K Real Signal:  https://www.mql5.com/en/signals/2386516 No gimmicks. No empty claims. Iron Stops caters to traders focused on one crucial aspect: consistency. Whether you’re working through a prop challenge or overseeing client funds, this EA keeps within set boundaries and delivers reliable results. Positions close within 36 hours. Run it on a single chart: Simply apply it to XAUUSD using the M30 timeframe. That’s all you need. One chart. One powerful tool. Proper configuration is essenti
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Euro Gift (EURUSD M15) I am celebrating my birthday, so i will publish some EAs for FREE. This EA has been developed for EURUSD M15.  Strategy is based on ICHIMOKU indicator and has very little parameters - so its VERY ROBUST. It uses Stop pending orders with   ATR   Stop Loss . At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+2 only!!! For every candle the pending orders are modified to adapt the mar
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This EA has been developed for DAX (DE.30) M5 and is based on breakout of the Linear Regression channel. It uses Stop pending orders with ATR Stop Loss and Take Profit. In this strategy we are limiting signals from 8:30 am to 9:30 pm. At 9:30 pm we are closing trading every day. Adjust this time to your broker time. Preset values are for UTC+1 only. For every candle the pending orders are modified to adapt the market behavior. Everything is already set up for DAX M5. Strategy is suitable only fo
This EA has been developed for DAX (DE.30) M30 and is based on breakout of the Highest channel after some period of consolidation. It uses Stop pending orders with ATR Stop Loss and Take Profit. In this strategy we are limiting signals from 8:30 am to 9:30 pm. At 9:30 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+1 only!!! For every candle the pending orders are modified to adapt the market behavior. Every
GOLD TREASURE HUNTER H1 Everything is already set up for GOLD H1 timeframe . Strategy is based on breakout of the HIGHEST channel after some period of consolidation. It uses Stop pending orders with  FIXED Stop Loss and Take Profit .  Strategy uses also PROFIT TRAILING function to lock as much profit as possible. For every candle the pending orders are modified to adapt the market behavior. You need to set only the lotsize depending on the amount of capital in relation to the expected risk.  EA
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Brexit Breakout (GBPUSD H1) This EA has been developed for GBPUSD H1.  Everything is tested for H1 timeframe . Strategy is based on breakout of the This Bar Open indicator after some time of consolidation. It will very well works on these times, when the pound is moving. It uses Stop pending orders with  FIXED Stop Loss and Take Profit . It also uses PROFIT TRAILING to catch from the moves as much as possible. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust
Geppy (GBPJPY H1) This EA has been developed for GBPJPY H1.  Everything is tested for H1 timeframe . Strategy is based on breakout of the HIGHEST/LOWEST channel after some time of consolidation. It will very well works on these times, when the pound is moving. It uses Stop pending orders with ATR   Stop Loss  and FIXED Take Profit . At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+2 only!!! For every
Euro Forecaster (EURUSD H1) This EA has been developed for EURUSD H1.  Everything is tested for H1 timeframe . Strategy is based on breakout of the THIS BAR OPEN after some time of consolidation. It uses Stop pending orders with   ATR   Stop Loss . For locking profits the BE and TRAILING PROFIT functions are present. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+2 only!!! For every candle the pendi
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This EA has been developed for DOWJONES (US30) H1 timeframe, everything is tested and ready for immediate use on real account. This Expert Advisor is based on BREAKOUT of the PIVOT LINE.  It uses STOP  pending orders with  FIXED STOP LOSS and ATR TAKE PROFIT . To catch more profit there is also a  TRAILING PROFIT  function provided. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+1 only!!! For every
This EA has been developed for LIGHT CRUDE OIL (WTI) H4 timeframe, everything is tested and ready for immediate use on real account. This Expert Advisor is based on   BREAKOUT of the HIGHEST LEVEL after some time of consolidation .  It uses   STOP  pending orders with  FIXED STOP LOSS . To catch more profit there is also a  TRAILING PROFIT  function provided. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are
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This EA has been developed for EURUSD M15 TF. It also works very well on GBPUSD M15. So you will get 2 strategies for lower price, that means better equity curve, higher profits, lower drawdowns. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on   BREAKOUT of the LOWEST CHANNEL   after some time of consolidation.   It uses   STOP  pending orders with  FIXED Stop Loss and FIXED Take Profit . To catch as much profit as possible there is also a   TRA
This EA has been developed for EURUSD M15 TF. It also works very well on EURUSD M30. So you will get 2 strategies for lower price, that means better equity curve, higher profits, lower drawdowns. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on   BREAKOUT of the HEIKEN ASHI CANDLES CHANNEL   after some time of consolidation.     It uses   STOP  pending orders with ATR Stop Loss . To catch as much profit as possible there is also a     TRAILING PR
This EA has been developed for EURJPY H4 TF. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on  BREAKOUT of the HIGHEST CHANNEL  after some time of consolidation. It uses  STOP  pending orders with  FIXED STOP LOSS and TAKE PROFIT . To catch as much profit as possible there is also a  TRAILING PROFIT and MOVE TO BE  functions provided. Every Friday at 9:00 pm we are closing trading to prevent from weekly gaps. !!!Adjust this time to your broker ti
This EA has been developed for DAX (GER30) H4 TF. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on  BREAKOUT of the MOMENTUM  after some time of consolidation. It uses    STOP  pending orders with  FIXED STOP LOSS and TAKE PROFIT . To catch as much profit as possible there is also a    TRAILING PROFIT function provided. Every Friday at 9:00 pm we are closing trading to prevent from weekly gaps. !!!Adjust this time to your broker time. Preset valu
This EA has been developed for EURUSD M30 timeframe. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on   BREAKOUT of the PREVIOUS CANDLE CLOSE   after some time of consolidation .  It uses   STOP  pending orders with   FIXED STOP LOSS and TAKE PROFIT . Very SIMPLE STRATEGY with only FEW PARAMETERS. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+2 only
This EA has been developed for GBPJPY H1 timeframe. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on    BREAKOUT of the BOLLINGER BAND channel   after some time of consolidation .  It uses   STOP  pending orders with  ATR  STOP LOSS and FIXED TAKE PROFIT .  Very SIMPLE STRATEGY with only FEW PARAMETERS. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are for UTC+
This EA has been developed for GBPJPY M30 timeframe. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on MACD indicator. It enters if DIVERGENCE occurs   after some time of consolidation .  It uses   STOP  pending orders with    ATR  STOP LOSS and FIXED TAKE PROFIT .  Very SIMPLE STRATEGY with only FEW PARAMETERS. At 9:00 pm we are closing trading every Friday to prevent from weekly gaps. !!!Adjust these times to your broker time. Preset values are
This EA has been developed for GBPUSD M15 timeframe. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on  RSI  indicator. It enters if DIVERGENCE occurs   after some time of consolidation .  It uses   STOP  pending orders with  ATR  STOP LOSS and FIXED TAKE PROFIT . To catch more profit there is also a TRAILING PROFIT function provided. Very SIMPLE STRATEGY with only FEW PARAMETERS. At 9:00 pm we are closing trading every Friday to prevent from week
This EA has been developed for EURUSD H4 timeframe. Everything is tested and ready for immediate use on real account. This Expert Advisor is based on  CCI  indicator. It enters if DIVERGENCE occurs   after some time of consolidation .  It uses   STOP  pending orders with    ATR  STOP LOSS and FIXED TAKE PROFIT . To catch more profit there are also a   TRAILING PROFIT and BREAKEVEN   functions provided. Very SIMPLE STRATEGY with only FEW PARAMETERS. At 9:00 pm we are closing trading every Friday
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