Advanced Neural Breakout

Neural Breakout - AI-Powered Multi-Symbol Portfolio Manager

Transform your MT5 terminal into an intelligent trading command center. Manage multiple forex pairs with advanced neural network technology and institutional-grade risk management from a single chart.

Live Signal: coming soon.  Ask me for setfile

Please contact me for setfile once purchased

🎯 WHAT IS NEURAL BREAKOUT?

Neural Breakout is a sophisticated multi-symbol trading system that combines self-learning neural networks with proven breakout strategies to trade multiple currency pairs simultaneously. Unlike traditional EAs that rely on static rules, Neural Breakout continuously adapts its decision-making based on live market performance.

Key Concept: One EA, multiple symbols, centralized control, intelligent risk management.

✨ CORE FEATURES

🧠 Self-Learning Neural Network

Progressive 3-Phase Learning:

  • Phase 1 - Gathering (Trades 1-10): Collects market data and initial performance metrics
  • Phase 2 - Learning (Trades 11-50): Trains neural network weights using backpropagation
  • Phase 3 - Active Trading (50+): Applies learned patterns with confidence-based filtering

Adaptive Intelligence:

  • Calculates entry confidence score (0-100%) for every potential trade
  • Learns from Maximum Favorable Excursion (MFE) and Maximum Adverse Excursion (MAE)
  • Periodically retrains to adapt to changing market conditions
  • Neural exit system determines optimal trade closure timing

Walk-Forward Protection:

  • Automatic weight reset prevents overfitting
  • Confidence threshold auto-adjusts based on win rate
  • Learns from real market results, not just historical data

⚖️ Advanced Risk Management Architecture

Multi-Layer Lot Size Calculation:

  • Risk-Based Sizing: Position size calculated from account risk percentage
  • Margin Validation: Pre-trade margin calculation with automatic blocking if insufficient
  • Basket Volume Limit: Hard cap on total exposure across all positions
  • Symbol-Agnostic: Works safely on Forex majors, Gold, indices without symbol-specific parameters

Six Independent Safety Checks:

  1. Risk percentage compliance
  2. Free margin sufficiency
  3. Total basket volume limit 
  4. Broker minimum lot validation
  5. Position count limits 
  6. Margin level threshold 

Smart Progression System:

  • ATR-Based Distance: Progression spacing adapts to volatility 
  • Controlled Accumulation: Maximum steps capped
  • Three Modes: Smart (balanced), Pure Multiplier (aggressive), Fixed Increment (conservative)

Global Protection:

  • Emergency Drawdown Guard: Halts ALL trading if account DD exceeds threshold 
  • News Filter Integration: Blocks trading during high-impact economic events using MT5 calendar
  • Dual Operation Modes: Virtual lines (EA-managed) or Broker mode (exchange-enforced SL/TP)

📊 Unified Multi-Symbol Dashboard

Professional Control Center:

  • Monitor up to 10 symbols from a single chart
  • Real-time P/L, position counts, drawdown percentage per symbol
  • Neural network status display (phase, accuracy %, sample count)
  • Win rate analytics with color-coded performance indicators
  • Live risk metrics (margin level, floating P/L, total positions)
  • News countdown timer with automatic blocking windows

Visual Indicators:

  • Virtual TP/SL lines (in virtual mode)
  • Trailing stop indicators with activation status
  • Block reason display (shows why trades were prevented)

One-Click Controls:

  • Individual BUY/SELL buttons per symbol
  • Pause progression without closing positions
  • Block new entries per direction
  • Emergency stop trading (one-click safety)

🔧 TECHNICAL SPECIFICATIONS

Platform Requirements:

  • MetaTrader 5 (Build 3661 or higher)
  • Account Type: Netting accounts (ECN/Raw Spread recommended)
  • Operating Mode: 24/5 operation recommended (VPS suggested)

Supported Instruments:

  • Forex Majors: EURUSD, GBPUSD, USDJPY, USDCAD, AUDUSD
  • Cross Pairs: EURJPY, EURGBP, GBPJPY, etc.
  • Gold: XAUUSD (with adjusted risk parameters)
  • Indices: Compatible with proper risk configuration

Recommended Timeframes:

  • Primary: H1 (1-hour chart) - Optimal balance
  • Alternative: M15, M30, H4 (adjust parameters accordingly)

Capital Requirements:

  • Minimum (Single Symbol): $500
  • Recommended (Multi-Symbol): $1,000+
  • Optimal (5-Symbol Portfolio): $5,000+
  • Professional: $10,000+ for full feature utilization
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