Gravota
99.99 USD
Demo downloaded:
44
Published:
27 October 2025
Current version:
1.11
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Version 1.11
2025.11.13
GRAVOTA v1.11 - Professional Momentum Scalping Expert Advisor
OVERVIEW
GRAVOTA is a fully automated momentum-based scalping system designed to identify and capitalize on short-term price movements across multiple asset classes. The Expert Advisor uses a proprietary spike detection algorithm to enter trades during periods of rapid price movement and employs an adaptive trailing stop mechanism to protect profits.
This is a serious trading tool built for traders who understand the risks of automated trading and scalping strategies. It is not a "holy grail" system and will experience losing trades as part of normal operation.
TRADING METHODOLOGY
The system operates on a simple but effective principle: it monitors real-time price action within a defined time window, calculates the magnitude of price movement, and executes trades when movement exceeds a specified threshold. Once in a position, it continuously adjusts the stop loss to follow favorable price movement while maintaining a fixed distance.
The core logic does not rely on traditional indicators, moving averages, or oscillators. Instead, it measures raw price velocity and direction, making it responsive to actual market movement rather than lagging calculations.
KEY FEATURES
Spike Detection System
Monitors price movement in real-time across user-defined time windows
Adapts threshold automatically based on chart timeframe
Prevents duplicate signals through intelligent cooldown periods
Works on all timeframes from M1 to H1
Adaptive Trailing Stop
Tracks highest favorable price achieved during the trade
Moves stop loss automatically as profit increases
Does not move stop loss against profit direction
Respects broker minimum stop level requirements
Universal Broker Compatibility
Automatic lot size normalization for all brokers
Supports lot sizes from 0.001 to 100 lots
Handles all lot step increments (0.001, 0.005, 0.01, 0.1, 1.0)
Automatic stop level validation and adjustment
Compatible with ECN, STP, and market maker execution
Risk Management
Percentage-based position sizing
Automatic margin calculation and verification
Maximum lot size safety limits
Stop loss on every trade
Configurable risk-to-reward ratios
Visual Interface
On-chart dashboard showing system status
Real-time position monitoring
Broker compatibility status display
Performance statistics tracking
BROKER REQUIREMENTS AND RECOMMENDATIONS
This Expert Advisor performs optimally on true ECN brokers with no dealing desk intervention. Pepperstone and similar ECN brokers are strongly recommended for the following reasons:
Why ECN Brokers Are Preferred:
Zero or minimal stop level requirements allow tight trailing stops
No requotes or artificial slippage
Transparent order execution
Faster order processing speeds
Raw spread pricing benefits scalping strategies
Pepperstone Specific Advantages:
Zero stop level on major pairs
Low latency execution infrastructure
No restrictions on scalping or automated trading
Competitive raw spreads suitable for high-frequency strategies
Brokers to Avoid:
Market makers with wide stop level requirements
Brokers that restrict scalping
Platforms with dealing desk intervention
Brokers with minimum trade duration requirements
The system will work on other broker types, but performance may be significantly reduced due to wider stop level requirements forcing larger trailing distances.
SUPPORTED INSTRUMENTS
Forex Pairs:
All major, minor, and exotic currency pairs with automatic pip value detection for 3-digit and 5-digit pricing.
Metals:
Gold (XAUUSD), Silver (XAGUSD) with appropriate pip value calculations for commodity pricing.
Indices:
US30, NAS100, SPX500, DAX, FTSE, and other cash and futures indices.
Volatility Indices:
Full support for Deriv Volatility 10, 25, 50, 75, 100 indices, Crash indices, and Boom indices.
Cryptocurrencies:
Bitcoin, Ethereum, and other crypto pairs offered by brokers.
TECHNICAL SPECIFICATIONS
Execution:
Order filling mode: IOC (Immediate or Cancel) with automatic fallback
Slippage protection with configurable tolerance
Automatic retry logic for temporary failures
Position modification with freeze level respect
Position Management:
One position per symbol maximum
Magic number isolation for multi-symbol operation
Automatic position tracking and monitoring
Real-time profit/loss calculation
Memory and Performance:
Efficient price history management with automatic cleanup
Fixed array sizes prevent memory leaks
Optimized tick processing
Minimal CPU usage during idle periods
PARAMETER CONFIGURATION
Essential Parameters:
Spike Detection Threshold (pips): Controls sensitivity to price movement. Lower values generate more signals but may catch noise. Higher values wait for larger moves. Recommended range: 5-15 pips for forex, 20-50 for indices.
Detection Time Window (seconds): The lookback period for measuring price change. Shorter windows detect rapid movements, longer windows identify sustained trends. Recommended: 5-15 seconds for M1-M5, 30-60 seconds for M15-H1.
Trailing Stop Distance (pips): The distance maintained between current price and stop loss. This is the primary risk parameter. Smaller values protect profits tighter but may exit prematurely. Recommended: 10-15 pips forex, 20-40 pips indices.
Risk Per Trade (percentage): Percentage of account balance risked per position. Conservative: 0.5-1%, Moderate: 1-2%, Aggressive: 2-5%. Never exceed 5% per trade.
Risk-Reward Ratio: Target profit as multiple of risk. Higher ratios mean larger potential profits but lower win rate. Recommended: 2:1 to 4:1 for balanced performance.
Maximum Spread (points): Prevents trading during abnormally wide spreads. Set according to typical spread for your instrument. Forex: 10-30 points, Indices: 30-100 points.
Advanced Parameters:
Stop Level Multiplier: Safety factor applied to broker minimum stop distance. Keep at 2.5 for ECN brokers, increase to 3.5-5.0 for brokers with stop level requirements.
Auto-Adjust Stops: When enabled, automatically increases stop distances to meet broker requirements. Should remain enabled unless you have specific reasons to disable.
Time Filter: Allows trading only during specified hours. Useful for avoiding low-liquidity periods or news events. Server time is used for all time calculations.
PERFORMANCE EXPECTATIONS
Realistic Outcome Projections:
This system will not make you rich overnight. It is a tool that requires proper capital, risk management, and realistic expectations.
Win Rate: Expect 40-60% winning trades depending on market conditions and parameter settings. Scalping systems typically have moderate win rates offset by favorable risk-reward ratios.
Average Trade Duration: Most trades close within 5-30 minutes. Some may run longer if strong trends develop. Occasional trades may hit stop loss within seconds during choppy conditions.
Daily Trade Frequency: Highly variable based on market volatility. Quiet sessions may produce 0-2 signals. Volatile periods may generate 10-20 signals. Average 3-8 trades per day per symbol.
Drawdown: Expect drawdown periods of 10-20% even with conservative risk settings. This is normal for any trading system. Maximum historical drawdown should be tested in strategy tester before live deployment.
RISK WARNINGS
Capital Requirements:
Minimum recommended account size is 500 USD for forex pairs with minimum lot size of 0.01. Smaller accounts will be forced to trade minimum lots resulting in higher risk per trade than configured.
Market Conditions:
The system performs best during trending or volatile market conditions. Range-bound, low-volatility periods will generate fewer signals and may result in consecutive losses.
Slippage and Execution:
Even on ECN brokers, slippage can occur during high-impact news events. Actual entry and exit prices may differ from theoretical backtested results.
Overnight and Weekend Risk:
The system does not automatically close positions before market close. Gaps and weekend price movements can cause stop loss slippage. Consider time filters to avoid holding positions through sessions.
Broker Dependency:
Performance is heavily dependent on broker execution quality. The same settings may produce significantly different results on different brokers.
No Guarantee of Profit:
Past performance in backtesting or on demo accounts does not guarantee future results. All trading involves substantial risk of loss.
INSTALLATION AND SETUP
Compile the Expert Advisor in MetaTrader 5 MetaEditor
Attach to desired chart and timeframe
Enable AutoTrading in MetaTrader 5 terminal
Configure parameters starting with conservative settings
Run compatibility diagnostic test on first initialization
Monitor journal for broker specification confirmation
Test on demo account for minimum 2 weeks before live deployment
OPTIMIZATION AND BACKTESTING
Strategy Tester Guidelines:
Use tick data with real tick mode for accurate results. "Every tick" mode will not properly simulate scalping execution. Ensure modeling quality is 90% or higher.
Set spread to realistic values matching your broker's typical conditions. Using "current spread" during optimization may produce unrealistic results if tested during low-spread periods.
Include slippage in backtesting. Set to 5-15 points depending on broker execution speed.
Backtest on multiple symbols and timeframes. A good parameter set should be reasonably profitable across different conditions, not optimized for one specific period.
Forward testing is mandatory. Backtest results, even with quality data, cannot fully replicate live market execution.
Optimization Approach:
Start with default parameters and make incremental adjustments. Avoid aggressive optimization that produces perfect backtest results but fails in live trading.
Optimize for consistent performance across multiple periods rather than maximum profit on one segment. Robustness is more valuable than peak performance.
MONITORING AND MAINTENANCE
Regular Checks:
Review Expert Advisor journal daily for error messages or execution issues. Trailing stop modification failures may indicate broker connectivity problems.
Monitor actual versus expected trade frequency. Significantly fewer trades than backtested may indicate spread filtering or broker restrictions.
Track actual slippage versus configured tolerance. Consistent negative slippage indicates broker execution quality issues.
Compare live results to demo account running identical settings. Major discrepancies suggest broker manipulation or execution problems.
Parameter Adjustment:
Market conditions change. Parameter sets that worked well may deteriorate over time. Be prepared to adjust thresholds and distances based on current volatility.
If win rate drops below 35% for extended period, increase spike threshold or tighten stop loss distance. If trade frequency becomes too low, reduce threshold or increase time window.
COMMON ISSUES AND SOLUTIONS
No Trades Being Placed:
Check that spike threshold is appropriate for instrument volatility. Verify spread is within maximum allowed. Confirm time filter is not blocking trading hours.
Stop Loss Not Trailing:
Verify trailing distance is larger than broker minimum stop level. Check that position is in profit by at least trailing distance amount. Ensure no broker restrictions on SL modifications.
Invalid Stops Error:
Broker stop level exceeds configured distances. Enable Auto-Adjust Stops parameter or manually increase trailing distance and spike threshold.
Invalid Volume Error:
Calculated lot size exceeds broker maximum or violates lot step requirement. Check lot size normalization settings and minimum account balance requirements.
SUPPORT AND UPDATES
This Expert Advisor is provided as-is without ongoing support obligations. Users are expected to have basic understanding of MQL5, MetaTrader 5 operation, and trading concepts.
The code is comprehensively commented for traders with programming knowledge who wish to modify logic or add features.
Version updates may be released to address broker compatibility issues or add requested features, but no update schedule is guaranteed.
FINAL STATEMENT
GRAVOTA is a professional trading tool designed for experienced traders who understand automated trading systems. It requires proper capital, a quality broker, realistic expectations, and ongoing monitoring.
It is not suitable for beginners, undercapitalized traders, or those seeking guaranteed profits. Trading involves substantial risk, and you should never trade with money you cannot afford to lose.
Success with this or any automated system depends more on proper risk management, broker selection, and disciplined operation than on the algorithm itself. The best trading system in the world will fail with inadequate capital or poor execution quality.
Use proper position sizing, maintain adequate capital reserves, and always test thoroughly on demo accounts before risking real money.
OVERVIEW
GRAVOTA is a fully automated momentum-based scalping system designed to identify and capitalize on short-term price movements across multiple asset classes. The Expert Advisor uses a proprietary spike detection algorithm to enter trades during periods of rapid price movement and employs an adaptive trailing stop mechanism to protect profits.
This is a serious trading tool built for traders who understand the risks of automated trading and scalping strategies. It is not a "holy grail" system and will experience losing trades as part of normal operation.
TRADING METHODOLOGY
The system operates on a simple but effective principle: it monitors real-time price action within a defined time window, calculates the magnitude of price movement, and executes trades when movement exceeds a specified threshold. Once in a position, it continuously adjusts the stop loss to follow favorable price movement while maintaining a fixed distance.
The core logic does not rely on traditional indicators, moving averages, or oscillators. Instead, it measures raw price velocity and direction, making it responsive to actual market movement rather than lagging calculations.
KEY FEATURES
Spike Detection System
Monitors price movement in real-time across user-defined time windows
Adapts threshold automatically based on chart timeframe
Prevents duplicate signals through intelligent cooldown periods
Works on all timeframes from M1 to H1
Adaptive Trailing Stop
Tracks highest favorable price achieved during the trade
Moves stop loss automatically as profit increases
Does not move stop loss against profit direction
Respects broker minimum stop level requirements
Universal Broker Compatibility
Automatic lot size normalization for all brokers
Supports lot sizes from 0.001 to 100 lots
Handles all lot step increments (0.001, 0.005, 0.01, 0.1, 1.0)
Automatic stop level validation and adjustment
Compatible with ECN, STP, and market maker execution
Risk Management
Percentage-based position sizing
Automatic margin calculation and verification
Maximum lot size safety limits
Stop loss on every trade
Configurable risk-to-reward ratios
Visual Interface
On-chart dashboard showing system status
Real-time position monitoring
Broker compatibility status display
Performance statistics tracking
BROKER REQUIREMENTS AND RECOMMENDATIONS
This Expert Advisor performs optimally on true ECN brokers with no dealing desk intervention. Pepperstone and similar ECN brokers are strongly recommended for the following reasons:
Why ECN Brokers Are Preferred:
Zero or minimal stop level requirements allow tight trailing stops
No requotes or artificial slippage
Transparent order execution
Faster order processing speeds
Raw spread pricing benefits scalping strategies
Pepperstone Specific Advantages:
Zero stop level on major pairs
Low latency execution infrastructure
No restrictions on scalping or automated trading
Competitive raw spreads suitable for high-frequency strategies
Brokers to Avoid:
Market makers with wide stop level requirements
Brokers that restrict scalping
Platforms with dealing desk intervention
Brokers with minimum trade duration requirements
The system will work on other broker types, but performance may be significantly reduced due to wider stop level requirements forcing larger trailing distances.
SUPPORTED INSTRUMENTS
Forex Pairs:
All major, minor, and exotic currency pairs with automatic pip value detection for 3-digit and 5-digit pricing.
Metals:
Gold (XAUUSD), Silver (XAGUSD) with appropriate pip value calculations for commodity pricing.
Indices:
US30, NAS100, SPX500, DAX, FTSE, and other cash and futures indices.
Volatility Indices:
Full support for Deriv Volatility 10, 25, 50, 75, 100 indices, Crash indices, and Boom indices.
Cryptocurrencies:
Bitcoin, Ethereum, and other crypto pairs offered by brokers.
TECHNICAL SPECIFICATIONS
Execution:
Order filling mode: IOC (Immediate or Cancel) with automatic fallback
Slippage protection with configurable tolerance
Automatic retry logic for temporary failures
Position modification with freeze level respect
Position Management:
One position per symbol maximum
Magic number isolation for multi-symbol operation
Automatic position tracking and monitoring
Real-time profit/loss calculation
Memory and Performance:
Efficient price history management with automatic cleanup
Fixed array sizes prevent memory leaks
Optimized tick processing
Minimal CPU usage during idle periods
PARAMETER CONFIGURATION
Essential Parameters:
Spike Detection Threshold (pips): Controls sensitivity to price movement. Lower values generate more signals but may catch noise. Higher values wait for larger moves. Recommended range: 5-15 pips for forex, 20-50 for indices.
Detection Time Window (seconds): The lookback period for measuring price change. Shorter windows detect rapid movements, longer windows identify sustained trends. Recommended: 5-15 seconds for M1-M5, 30-60 seconds for M15-H1.
Trailing Stop Distance (pips): The distance maintained between current price and stop loss. This is the primary risk parameter. Smaller values protect profits tighter but may exit prematurely. Recommended: 10-15 pips forex, 20-40 pips indices.
Risk Per Trade (percentage): Percentage of account balance risked per position. Conservative: 0.5-1%, Moderate: 1-2%, Aggressive: 2-5%. Never exceed 5% per trade.
Risk-Reward Ratio: Target profit as multiple of risk. Higher ratios mean larger potential profits but lower win rate. Recommended: 2:1 to 4:1 for balanced performance.
Maximum Spread (points): Prevents trading during abnormally wide spreads. Set according to typical spread for your instrument. Forex: 10-30 points, Indices: 30-100 points.
Advanced Parameters:
Stop Level Multiplier: Safety factor applied to broker minimum stop distance. Keep at 2.5 for ECN brokers, increase to 3.5-5.0 for brokers with stop level requirements.
Auto-Adjust Stops: When enabled, automatically increases stop distances to meet broker requirements. Should remain enabled unless you have specific reasons to disable.
Time Filter: Allows trading only during specified hours. Useful for avoiding low-liquidity periods or news events. Server time is used for all time calculations.
PERFORMANCE EXPECTATIONS
Realistic Outcome Projections:
This system will not make you rich overnight. It is a tool that requires proper capital, risk management, and realistic expectations.
Win Rate: Expect 40-60% winning trades depending on market conditions and parameter settings. Scalping systems typically have moderate win rates offset by favorable risk-reward ratios.
Average Trade Duration: Most trades close within 5-30 minutes. Some may run longer if strong trends develop. Occasional trades may hit stop loss within seconds during choppy conditions.
Daily Trade Frequency: Highly variable based on market volatility. Quiet sessions may produce 0-2 signals. Volatile periods may generate 10-20 signals. Average 3-8 trades per day per symbol.
Drawdown: Expect drawdown periods of 10-20% even with conservative risk settings. This is normal for any trading system. Maximum historical drawdown should be tested in strategy tester before live deployment.
RISK WARNINGS
Capital Requirements:
Minimum recommended account size is 500 USD for forex pairs with minimum lot size of 0.01. Smaller accounts will be forced to trade minimum lots resulting in higher risk per trade than configured.
Market Conditions:
The system performs best during trending or volatile market conditions. Range-bound, low-volatility periods will generate fewer signals and may result in consecutive losses.
Slippage and Execution:
Even on ECN brokers, slippage can occur during high-impact news events. Actual entry and exit prices may differ from theoretical backtested results.
Overnight and Weekend Risk:
The system does not automatically close positions before market close. Gaps and weekend price movements can cause stop loss slippage. Consider time filters to avoid holding positions through sessions.
Broker Dependency:
Performance is heavily dependent on broker execution quality. The same settings may produce significantly different results on different brokers.
No Guarantee of Profit:
Past performance in backtesting or on demo accounts does not guarantee future results. All trading involves substantial risk of loss.
INSTALLATION AND SETUP
Compile the Expert Advisor in MetaTrader 5 MetaEditor
Attach to desired chart and timeframe
Enable AutoTrading in MetaTrader 5 terminal
Configure parameters starting with conservative settings
Run compatibility diagnostic test on first initialization
Monitor journal for broker specification confirmation
Test on demo account for minimum 2 weeks before live deployment
OPTIMIZATION AND BACKTESTING
Strategy Tester Guidelines:
Use tick data with real tick mode for accurate results. "Every tick" mode will not properly simulate scalping execution. Ensure modeling quality is 90% or higher.
Set spread to realistic values matching your broker's typical conditions. Using "current spread" during optimization may produce unrealistic results if tested during low-spread periods.
Include slippage in backtesting. Set to 5-15 points depending on broker execution speed.
Backtest on multiple symbols and timeframes. A good parameter set should be reasonably profitable across different conditions, not optimized for one specific period.
Forward testing is mandatory. Backtest results, even with quality data, cannot fully replicate live market execution.
Optimization Approach:
Start with default parameters and make incremental adjustments. Avoid aggressive optimization that produces perfect backtest results but fails in live trading.
Optimize for consistent performance across multiple periods rather than maximum profit on one segment. Robustness is more valuable than peak performance.
MONITORING AND MAINTENANCE
Regular Checks:
Review Expert Advisor journal daily for error messages or execution issues. Trailing stop modification failures may indicate broker connectivity problems.
Monitor actual versus expected trade frequency. Significantly fewer trades than backtested may indicate spread filtering or broker restrictions.
Track actual slippage versus configured tolerance. Consistent negative slippage indicates broker execution quality issues.
Compare live results to demo account running identical settings. Major discrepancies suggest broker manipulation or execution problems.
Parameter Adjustment:
Market conditions change. Parameter sets that worked well may deteriorate over time. Be prepared to adjust thresholds and distances based on current volatility.
If win rate drops below 35% for extended period, increase spike threshold or tighten stop loss distance. If trade frequency becomes too low, reduce threshold or increase time window.
COMMON ISSUES AND SOLUTIONS
No Trades Being Placed:
Check that spike threshold is appropriate for instrument volatility. Verify spread is within maximum allowed. Confirm time filter is not blocking trading hours.
Stop Loss Not Trailing:
Verify trailing distance is larger than broker minimum stop level. Check that position is in profit by at least trailing distance amount. Ensure no broker restrictions on SL modifications.
Invalid Stops Error:
Broker stop level exceeds configured distances. Enable Auto-Adjust Stops parameter or manually increase trailing distance and spike threshold.
Invalid Volume Error:
Calculated lot size exceeds broker maximum or violates lot step requirement. Check lot size normalization settings and minimum account balance requirements.
SUPPORT AND UPDATES
This Expert Advisor is provided as-is without ongoing support obligations. Users are expected to have basic understanding of MQL5, MetaTrader 5 operation, and trading concepts.
The code is comprehensively commented for traders with programming knowledge who wish to modify logic or add features.
Version updates may be released to address broker compatibility issues or add requested features, but no update schedule is guaranteed.
FINAL STATEMENT
GRAVOTA is a professional trading tool designed for experienced traders who understand automated trading systems. It requires proper capital, a quality broker, realistic expectations, and ongoing monitoring.
It is not suitable for beginners, undercapitalized traders, or those seeking guaranteed profits. Trading involves substantial risk, and you should never trade with money you cannot afford to lose.
Success with this or any automated system depends more on proper risk management, broker selection, and disciplined operation than on the algorithm itself. The best trading system in the world will fail with inadequate capital or poor execution quality.
Use proper position sizing, maintain adequate capital reserves, and always test thoroughly on demo accounts before risking real money.
Version 1.10
2025.11.11
GRAVOTA - Professional Momentum Spike Scalping Expert Advisor
🎯 Product Overview
Gravota is an advanced momentum-based scalping Expert Advisor developed by Sapplanta Enterprise. This sophisticated trading bot specializes in detecting and capitalizing on rapid price movements (spikes) in real-time, executing trades with precision timing and professional-grade risk management.
🆕 VERSION 1.10 - UNIVERSAL BROKER COMPATIBILITY
Now works flawlessly with ANY MT5 broker - from ECN to Market Makers, from standard forex to Deriv Volatility Indices. Automatically adapts to your broker's lot size requirements and stop level specifications. No more "Invalid Stops" or "Invalid Volume" errors!
⚡ Key Advantages
✅ Universal Broker Compatibility - Works with ANY MT5 broker without manual adjustments
✅ Deriv Synthetics Ready - Fully optimized for Volatility Indices, Crash, Boom, Step Index
✅ Auto Lot Size Adaptation - Handles all lot increments: 0.001, 0.005, 0.01, 0.1, 1.0
✅ Auto Stop Level Adjustment - Eliminates "Invalid Stops" errors on all brokers
✅ Lightning-Fast Spike Detection - Captures momentum moves within milliseconds
✅ Smart Risk Management - Automatically calculates position size for your exact risk percentage
✅ 6:1 Reward Ratio - Targets 6% profit for every 1% risked
✅ Intelligent Trailing Stop - Automatically adapts to broker freeze and stop levels
✅ No Repainting - All signals based on real-time price action
✅ Multi-Timeframe - Works on M1, M5, M15, H1, and higher timeframes
✅ Built-in Diagnostics - Compatibility checker validates your broker on startup
✅ Professional Dashboard - Real-time monitoring with broker compatibility status
🆕 What's New in Version 1.10
🌍 Universal Broker Compatibility
Previous versions worked great on some brokers but failed on others due to different lot size requirements. Version 1.10 solves this completely:
Automatically detects your broker's minimum lot size (0.001, 0.005, 0.01, etc.)
Automatically normalizes calculated lot sizes to match broker requirements
Automatically adjusts stop loss and take profit distances to meet broker minimums
Automatically validates all parameters before placing orders
Result: Zero "Invalid Volume" errors, zero "Invalid Stops" errors, works on first try!
📊 Broker Compatibility Checker
When you first attach Gravota to your chart, it automatically:
Analyzes your broker's specifications
Tests lot size normalization
Validates stop level requirements
Displays compatibility report in Journal
Shows real-time status on dashboard (✅ Compatible / ⚠️ Partial / ❌ Issues)
🎯 Intelligent Account Size Warnings
Gravota now:
Calculates if your account size is sufficient for the minimum lot
Warns you before placing trades that risk more than your target percentage
Recommends minimum account size for optimal performance
Displays actual risk vs. target risk in detailed logs
🔍 Enhanced Error Handling
Every action is logged with clear explanations:
Trade executed: Shows exact lot size, entry, SL, TP with pip distances
Trade rejected: Explains exactly why (insufficient margin, spread too high, etc.)
Parameter adjusted: Shows what was changed and why (e.g., "Auto-adjusted SL from 1 pip to 10 pips due to broker requirement")
📊 How Gravota Works
1. Spike Detection
Gravota continuously monitors price movements tick-by-tick, looking for sudden momentum surges. When price moves a specified number of pips within a specified time window, it identifies this as a tradeable spike.
Adaptive Detection:
M1/M5: Detects quick spikes (5-10 seconds)
M15/H1: Adapts to longer timeframes automatically
Works on all instruments: forex, metals, indices, synthetics
2. Instant Trade Execution
The moment a valid spike is detected:
Determines trade direction (bullish or bearish momentum)
Calculates optimal lot size based on your risk percentage
Normalizes lot size to broker requirements
Sets stop loss and take profit with broker-compliant distances
Validates all parameters
Executes trade instantly
3. Dynamic Risk Management
Never risks more than your specified percentage (default 1%)
Accounts for broker minimum lot sizes
Calculates actual monetary risk before each trade
Adjusts position size based on account balance
Prevents over-leveraging with margin checks
4. Intelligent Profit Protection
Once in a trade, Gravota:
Monitors position in real-time
Applies trailing stop when profit reaches threshold
Respects broker freeze levels (prevents modification errors)
Locks in profits progressively as price moves favorably
Exits at take profit (6:1 reward ratio) or trailing stop
🎯 Trading Strategy
Entry Logic
BUY Signal: Price spikes upward X pips within Y seconds
SELL Signal: Price spikes downward X pips within Y seconds
Entry Conditions:
✅ Spike threshold exceeded
✅ Within time window
✅ Spread below maximum
✅ No position already open
✅ Within trading hours (if filter enabled)
✅ Cooldown period elapsed since last spike
Exit Logic
Take Profit: Price moves to predetermined TP level (6:1 reward ratio by default)
Trailing Stop: Activated when trade is in profit; follows price movement
Stop Loss: Fixed based on spike threshold
Risk Management:
Single position at a time (no grid, no martingale)
Fixed percentage risk per trade
Predetermined reward ratio
No position averaging
Clean exit on every trade
📈 Supported Instruments
✅ Standard Forex (All Major & Minor Pairs)
EURUSD, GBPUSD, USDJPY, AUDUSD, NZDUSD, USDCAD, USDCHF, EURJPY, GBPJPY, and all others
✅ Deriv Volatility Indices (Fully Optimized)
Volatility 10 (0.001 min lot) ✅
Volatility 25 (0.005 min lot) ✅
Volatility 50 (0.005 min lot) ✅
Volatility 75 (0.01 min lot) ✅
Volatility 100 (0.01 min lot) ✅
✅ Deriv Crash & Boom Indices
Crash 500 (0.005 min lot) ✅
Crash 1000 (0.005 min lot) ✅
Boom 500 (0.005 min lot) ✅
Boom 1000 (0.005 min lot) ✅
✅ Deriv Step Index
Step Index (0.001 min lot) ✅
✅ Metals
XAUUSD (Gold), XAGUSD (Silver)
✅ Indices
US30, NAS100, SP500, DAX30, FTSE100
✅ Commodities
Oil (WTI, Brent), Natural Gas
✅ Crypto CFDs
BTCUSD, ETHUSD, LTCUSD
🔧 Input Parameters
📊 Main Strategy Settings
Spike Detection Threshold (10.0) - Minimum pip movement to trigger entry (higher = fewer but stronger signals)
Detection Time Window (5) - Maximum seconds for spike to occur (lower = faster spikes only)
Trailing Stop Distance (1.0) - Pips distance for trailing (auto-adjusted if broker requires)
Risk Per Trade (1.0) - Percentage of account balance to risk per trade
Magic Number (20240101) - Unique identifier for Gravota trades
Show Dashboard (true) - Display on-chart information panel
💰 Trade Configuration
Risk:Reward Ratio (6.0) - Target reward multiplier (6.0 = 6% profit target for 1% risk)
Maximum Spread (30) - Maximum allowed spread in points (prevents trading during high spreads)
Slippage (10) - Maximum acceptable slippage in points
Minimum Lot Override (0.0) - Force minimum lot size (0 = auto-detect from broker)
Maximum Lot Override (0.0) - Force maximum lot size (0 = auto-detect from broker)
⏰ Time Filter Settings
Use Trading Hours Filter (false) - Enable to trade only during specific hours
Start Hour (8) - Trading start hour in server time
End Hour (20) - Trading end hour in server time
🔧 Advanced Settings
Show Compatibility Warnings (true) - Display alerts for broker compatibility issues
Stop Level Multiplier (2.5) - Safety margin multiplier for broker stop levels
Auto-Adjust Stops (true) - Automatically adjust SL/TP to meet broker requirements
Run Diagnostic Test (true) - Test broker compatibility on initialization
📊 Real-Time Dashboard
Gravota displays a professional dashboard on your chart showing:
✅ EA Status - Monitoring / In Trade
✅ Broker Compatibility - Compatible / Partial / Issues (color-coded)
✅ Account Balance - Real-time balance display
✅ Current Position - Type (BUY/SELL) and profit/loss
✅ Risk:Reward Ratio - Current and target
✅ Last Spike - Time since last detected spike
Dashboard Colors:
🟢 Green: Fully compatible, trade executed successfully
🟡 Yellow: Partial compatibility, working with adjustments
🟠 Orange: Compatibility issues, check settings
💡 Unique Features
🎯 Single-Trade Focus
No martingale strategy
No grid trading
No position averaging
One trade at a time with fixed risk
Clean, professional approach
📈 Momentum-Only Trading
Trades only strong directional moves
Filters out noise and consolidation
Capitalizes on institutional momentum
High probability setups
🛡️ Spike Cooldown Protection
Prevents overtrading during single price event
Ensures each trade is independent
Avoids correlation between consecutive trades
🔄 Broker Auto-Adaptation
Works with 3, 4, and 5-digit pricing
Handles all lot size increments
Respects broker stop levels
Adapts to freeze levels
Universal compatibility
⚠️ Smart Account Warnings
Alerts when account is too small
Recommends minimum balance
Shows actual vs. target risk
Prevents unexpected losses
📝 Transparent Logging
Every action is logged:
Why trades were taken
How lot size was calculated
What adjustments were made
Why trades were rejected (if applicable)
Detailed error explanations
📈 Recommended Trading Conditions
🏆 Best Instruments
For Small Accounts (
100
−
100−500):
EURUSD, GBPUSD, USDJPY (standard forex)
Volatility 75, Volatility 100 (if broker allows 0.01 lot)
For Medium Accounts (
500
−
500−2000):
All major forex pairs
Deriv Volatility Indices (all types)
Deriv Crash/Boom indices
XAUUSD (Gold)
For Large Accounts ($2000+):
All supported instruments
Indices (US30, NAS100)
Multiple chart instances
⏰ Best Trading Times
Optimal Sessions:
London Open (07:00-09:00 GMT) - High volatility
New York Open (12:00-14:00 GMT) - Maximum volume
London/NY Overlap (12:00-16:00 GMT) - Best liquidity
Recommended Timeframes:
M1 - Maximum trading frequency (scalping)
M5 - Balanced frequency and quality
M15 - Lower frequency, higher quality
H1 - Swing trading approach
💰 Minimum Deposit Recommendations
Instrument Type Min Lot Recommended Deposit Risk %
Standard Forex 0.01
100
−
100−200 1%
Deriv V75/V100 0.01
500
−
500−1000 1%
Deriv V25/V50 0.005
500
−
500−800 1%
Deriv V10/Step 0.001
300
−
300−500 1%
Gold (XAUUSD) 0.01
500
−
500−1000 1%
Indices 0.1 $2000+ 1%
Note: Gravota will warn you if your account is below recommended size
🏢 Broker Requirements
Recommended:
✅ ECN or STP execution
✅ Low spread (< 2 pips on majors)
✅ Low stop level (0-10 pips ideal)
✅ Fast execution (< 100ms)
✅ No scalping restrictions
Compatible (with auto-adjustment):
⚠️ Market makers (may have higher spreads)
⚠️ Brokers with 10-20 pip stop levels
⚠️ Standard accounts
Tested & Verified Brokers:
IC Markets ✅
Pepperstone ✅
FP Markets ✅
Deriv ✅
Exness ✅
Tickmill ✅
Admiral Markets ✅
🚀 Why Choose Gravota v1.10?
🎯 For Traders
✅ Set and Forget - Fully automated, no manual intervention needed
✅ Risk Controlled - Never risks more than you specify
✅ Broker Independent - Works with your current broker
✅ Deriv Optimized - Perfect for Volatility Indices traders
✅ Transparent - See exactly what the EA is doing
🔧 For Strategy
✅ Proven Logic - Based on institutional momentum principles
✅ No Dangerous Methods - No martingale, no grid, no averaging
✅ Professional Exit - Trailing stop protects profits
✅ High Reward Ratio - 6:1 default (customizable)
💻 For Technology
✅ Universal Compatibility - Works on ANY MT5 broker
✅ Smart Error Handling - Explains issues clearly
✅ Low Resource Usage - VPS-friendly
✅ No Repainting - Honest, real-time signals
📊 For Performance
✅ Detailed Logging - Analyze every decision
✅ Backtest Compatible - Test historical performance
✅ Optimization Ready - Fine-tune for your preferences
✅ Multi-Symbol - Run on multiple charts simultaneously
📋 Installation & Setup
Step 1: Installation
Purchase and download Gravota from MQL5 Market
Open MetaTrader 5
Navigate to Navigator → Market → My Products
Install Gravota
Restart MT5
Step 2: Attach to Chart
Open any supported instrument chart
Select your preferred timeframe (M1 or M5 recommended)
Drag Gravota EA onto the chart
Adjust parameters if needed (defaults work well)
Click "OK"
Enable "AutoTrading" button in MT5 toolbar
Step 3: Verify Compatibility
Open "Toolbox" → "Experts" tab
Look for Broker Compatibility Check report
Verify you see: "✅ BROKER FULLY COMPATIBLE"
Check dashboard on chart for green status
If issues detected, follow recommendations in Journal
Step 4: Monitor
Watch dashboard for first spike detection
Check Journal for detailed logs
Verify trades are executed correctly
Adjust risk parameters if needed
⚠️ Important: Always test on demo account for at least 1 week before going live!
⚙️ Optimization Tips
For Maximum Frequency (More Trades)
Use M1 timeframe
Lower Spike Threshold to 5-8 pips
Shorter Time Window (3-5 seconds)
Trade during high volatility sessions
For Higher Quality (Fewer, Better Trades)
Use M5 or M15 timeframe
Higher Spike Threshold (15-20 pips)
Longer Time Window (10-15 seconds)
Use time filter for best sessions only
For Deriv Volatility Indices
Use M1 timeframe
Spike Threshold: 10-15 units
Time Window: 5-10 seconds
Risk: 0.5-1% (these instruments are volatile)
For Standard Forex
Use M5 timeframe
Spike Threshold: 10-12 pips
Time Window: 5 seconds
Risk: 1-2%
Trade during London/NY sessions
⚠️ Risk Disclaimer
Trading foreign exchange, CFDs, and derivatives carries a high level of risk and may not be suitable for all investors. The high degree of leverage can work against you as well as for you. Before deciding to trade, you should carefully consider your investment objectives, level of experience, and risk appetite.
Important Notes:
Past performance is not indicative of future results
Always test on demo account first (minimum 1 week)
Start with minimum risk percentage (0.5-1%)
Never invest more than you can afford to lose
Results vary by broker, instrument, and market conditions
No EA can guarantee profits
Gravota is a tool - Success depends on proper use, appropriate account size, broker quality, and market conditions.
📞 Support & Updates
🛠️ Technical Support
Professional support via MQL5 private messaging
Response time: Within 24-48 hours
Broker compatibility assistance
Optimization guidance
Setup troubleshooting
🔄 Free Updates
All customers receive free lifetime updates including:
Bug fixes
Performance improvements
New features
Broker compatibility expansions
MT5 platform updates
📚 Resources
Installation video guide
Optimization guide
FAQ document
Best practices manual
Broker compatibility list
🌐 Developer
Sapplanta Enterprise
Website: https://sapplanta.site
Specializing in professional trading automation
Committed to quality and customer success
🏆 What You Get
When you purchase Gravota v1.10, you receive:
✅ Gravota Expert Advisor - Fully compiled and ready to use
✅ Universal Broker Compatibility - Works with any MT5 broker
✅ Professional Dashboard - Real-time monitoring on chart
✅ Broker Diagnostic Tool - Built-in compatibility checker
✅ Detailed User Guide - Complete setup and optimization instructions
✅ Free Lifetime Updates - All future improvements included
✅ Professional Support - Direct assistance from Sapplanta Enterprise
✅ No Hidden Fees - One-time purchase, no subscriptions
📊 Product Specifications
Version: 1.10 (Universal Compatibility Edition)
Release Date: 2024
Platform: MetaTrader 5 (Build 3800+)
Type: Expert Advisor (Automated Trading System)
Strategy: Momentum Spike Scalping
Trading Style: Scalping / Day Trading
Timeframes: All (M1, M5 recommended)
Instruments: Forex, Metals, Indices, Commodities, Crypto CFDs, Deriv Synthetics
Risk Management: Fixed percentage per trade
Position Management: Single trade at a time
Execution: Market orders with SL/TP
Lot Sizing: Automatic (risk-based)
Compatible Lot Steps: 0.001, 0.005, 0.01, 0.1, 1.0
Stop Level Range: 0 pips to 50+ pips (auto-adjusts)
🎯 Perfect For
✅ Deriv Traders - Optimized for Volatility Indices
✅ Scalpers - Fast execution on M1/M5 timeframes
✅ Busy Traders - Fully automated, no monitoring needed
✅ Risk-Conscious Traders - Fixed percentage risk per trade
✅ Multi-Broker Traders - Works with any broker
✅ VPS Users - Low resource usage, stable operation
✅ Demo Testers - Backtest and forward test easily
🚀 Get Started Today!
Stop struggling with broker compatibility issues. Stop seeing "Invalid Stops" and "Invalid Volume" errors. Gravota v1.10 works out of the box with ANY MT5 broker.
One EA. Any Broker. Any Instrument. Professional Results.
❓ Frequently Asked Questions
Q: Will this work with my broker?
A: Yes! Version 1.10 works with ANY MT5 broker. The built-in compatibility checker validates your broker on startup.
Q: Can I use this on Deriv Volatility Indices?
A: Absolutely! Gravota is fully optimized for all Deriv synthetic indices including V10, V25, V50, V75, V100, Crash, Boom, and Step Index.
Q: What if my broker has 0.005 minimum lot size?
A: Gravota automatically detects and adapts to any minimum lot size (0.001, 0.005, 0.01, 0.1, or 1.0).
Q: My account is small ($100). Will this work?
A: Yes, but Gravota will warn you if your account is below the recommended size for your chosen instrument. You can still trade, but actual risk may be higher than target risk.
Q: Does this use martingale or grid strategies?
A: No. Gravota trades one position at a time with fixed risk percentage. No dangerous money management methods.
Q: Can I backtest this EA?
A: Yes, Gravota is fully compatible with MT5 strategy tester.
Q: How often does it trade?
A: Depends on timeframe and settings. On M1 with default settings, typically 2-10 trades per day during active sessions.
Q: What happens if my broker has high stop levels?
A: Gravota automatically adjusts SL/TP distances to meet your broker's requirements while maintaining the strategy logic.
Q: Do I get the source code?
A: No. MQL5 Market products are compiled .ex5 files only. This protects the intellectual property while ensuring you get a tested, professional product.
Q: Can I run this on multiple charts?
A: Yes! You can run Gravota on multiple instruments simultaneously. Just use different Magic Numbers for each instance.
Experience Professional Momentum Trading with Gravota v1.10
Where Universal Compatibility Meets Precision Trading
Developed by Sapplanta Enterprise | https://sapplanta.site
🎁 Limited Time: Early Adopter Pricing Available
Gravota - The Last Trading EA You'll Need
Professional. Reliable. Universal.
🎯 Product Overview
Gravota is an advanced momentum-based scalping Expert Advisor developed by Sapplanta Enterprise. This sophisticated trading bot specializes in detecting and capitalizing on rapid price movements (spikes) in real-time, executing trades with precision timing and professional-grade risk management.
🆕 VERSION 1.10 - UNIVERSAL BROKER COMPATIBILITY
Now works flawlessly with ANY MT5 broker - from ECN to Market Makers, from standard forex to Deriv Volatility Indices. Automatically adapts to your broker's lot size requirements and stop level specifications. No more "Invalid Stops" or "Invalid Volume" errors!
⚡ Key Advantages
✅ Universal Broker Compatibility - Works with ANY MT5 broker without manual adjustments
✅ Deriv Synthetics Ready - Fully optimized for Volatility Indices, Crash, Boom, Step Index
✅ Auto Lot Size Adaptation - Handles all lot increments: 0.001, 0.005, 0.01, 0.1, 1.0
✅ Auto Stop Level Adjustment - Eliminates "Invalid Stops" errors on all brokers
✅ Lightning-Fast Spike Detection - Captures momentum moves within milliseconds
✅ Smart Risk Management - Automatically calculates position size for your exact risk percentage
✅ 6:1 Reward Ratio - Targets 6% profit for every 1% risked
✅ Intelligent Trailing Stop - Automatically adapts to broker freeze and stop levels
✅ No Repainting - All signals based on real-time price action
✅ Multi-Timeframe - Works on M1, M5, M15, H1, and higher timeframes
✅ Built-in Diagnostics - Compatibility checker validates your broker on startup
✅ Professional Dashboard - Real-time monitoring with broker compatibility status
🆕 What's New in Version 1.10
🌍 Universal Broker Compatibility
Previous versions worked great on some brokers but failed on others due to different lot size requirements. Version 1.10 solves this completely:
Automatically detects your broker's minimum lot size (0.001, 0.005, 0.01, etc.)
Automatically normalizes calculated lot sizes to match broker requirements
Automatically adjusts stop loss and take profit distances to meet broker minimums
Automatically validates all parameters before placing orders
Result: Zero "Invalid Volume" errors, zero "Invalid Stops" errors, works on first try!
📊 Broker Compatibility Checker
When you first attach Gravota to your chart, it automatically:
Analyzes your broker's specifications
Tests lot size normalization
Validates stop level requirements
Displays compatibility report in Journal
Shows real-time status on dashboard (✅ Compatible / ⚠️ Partial / ❌ Issues)
🎯 Intelligent Account Size Warnings
Gravota now:
Calculates if your account size is sufficient for the minimum lot
Warns you before placing trades that risk more than your target percentage
Recommends minimum account size for optimal performance
Displays actual risk vs. target risk in detailed logs
🔍 Enhanced Error Handling
Every action is logged with clear explanations:
Trade executed: Shows exact lot size, entry, SL, TP with pip distances
Trade rejected: Explains exactly why (insufficient margin, spread too high, etc.)
Parameter adjusted: Shows what was changed and why (e.g., "Auto-adjusted SL from 1 pip to 10 pips due to broker requirement")
📊 How Gravota Works
1. Spike Detection
Gravota continuously monitors price movements tick-by-tick, looking for sudden momentum surges. When price moves a specified number of pips within a specified time window, it identifies this as a tradeable spike.
Adaptive Detection:
M1/M5: Detects quick spikes (5-10 seconds)
M15/H1: Adapts to longer timeframes automatically
Works on all instruments: forex, metals, indices, synthetics
2. Instant Trade Execution
The moment a valid spike is detected:
Determines trade direction (bullish or bearish momentum)
Calculates optimal lot size based on your risk percentage
Normalizes lot size to broker requirements
Sets stop loss and take profit with broker-compliant distances
Validates all parameters
Executes trade instantly
3. Dynamic Risk Management
Never risks more than your specified percentage (default 1%)
Accounts for broker minimum lot sizes
Calculates actual monetary risk before each trade
Adjusts position size based on account balance
Prevents over-leveraging with margin checks
4. Intelligent Profit Protection
Once in a trade, Gravota:
Monitors position in real-time
Applies trailing stop when profit reaches threshold
Respects broker freeze levels (prevents modification errors)
Locks in profits progressively as price moves favorably
Exits at take profit (6:1 reward ratio) or trailing stop
🎯 Trading Strategy
Entry Logic
BUY Signal: Price spikes upward X pips within Y seconds
SELL Signal: Price spikes downward X pips within Y seconds
Entry Conditions:
✅ Spike threshold exceeded
✅ Within time window
✅ Spread below maximum
✅ No position already open
✅ Within trading hours (if filter enabled)
✅ Cooldown period elapsed since last spike
Exit Logic
Take Profit: Price moves to predetermined TP level (6:1 reward ratio by default)
Trailing Stop: Activated when trade is in profit; follows price movement
Stop Loss: Fixed based on spike threshold
Risk Management:
Single position at a time (no grid, no martingale)
Fixed percentage risk per trade
Predetermined reward ratio
No position averaging
Clean exit on every trade
📈 Supported Instruments
✅ Standard Forex (All Major & Minor Pairs)
EURUSD, GBPUSD, USDJPY, AUDUSD, NZDUSD, USDCAD, USDCHF, EURJPY, GBPJPY, and all others
✅ Deriv Volatility Indices (Fully Optimized)
Volatility 10 (0.001 min lot) ✅
Volatility 25 (0.005 min lot) ✅
Volatility 50 (0.005 min lot) ✅
Volatility 75 (0.01 min lot) ✅
Volatility 100 (0.01 min lot) ✅
✅ Deriv Crash & Boom Indices
Crash 500 (0.005 min lot) ✅
Crash 1000 (0.005 min lot) ✅
Boom 500 (0.005 min lot) ✅
Boom 1000 (0.005 min lot) ✅
✅ Deriv Step Index
Step Index (0.001 min lot) ✅
✅ Metals
XAUUSD (Gold), XAGUSD (Silver)
✅ Indices
US30, NAS100, SP500, DAX30, FTSE100
✅ Commodities
Oil (WTI, Brent), Natural Gas
✅ Crypto CFDs
BTCUSD, ETHUSD, LTCUSD
🔧 Input Parameters
📊 Main Strategy Settings
Spike Detection Threshold (10.0) - Minimum pip movement to trigger entry (higher = fewer but stronger signals)
Detection Time Window (5) - Maximum seconds for spike to occur (lower = faster spikes only)
Trailing Stop Distance (1.0) - Pips distance for trailing (auto-adjusted if broker requires)
Risk Per Trade (1.0) - Percentage of account balance to risk per trade
Magic Number (20240101) - Unique identifier for Gravota trades
Show Dashboard (true) - Display on-chart information panel
💰 Trade Configuration
Risk:Reward Ratio (6.0) - Target reward multiplier (6.0 = 6% profit target for 1% risk)
Maximum Spread (30) - Maximum allowed spread in points (prevents trading during high spreads)
Slippage (10) - Maximum acceptable slippage in points
Minimum Lot Override (0.0) - Force minimum lot size (0 = auto-detect from broker)
Maximum Lot Override (0.0) - Force maximum lot size (0 = auto-detect from broker)
⏰ Time Filter Settings
Use Trading Hours Filter (false) - Enable to trade only during specific hours
Start Hour (8) - Trading start hour in server time
End Hour (20) - Trading end hour in server time
🔧 Advanced Settings
Show Compatibility Warnings (true) - Display alerts for broker compatibility issues
Stop Level Multiplier (2.5) - Safety margin multiplier for broker stop levels
Auto-Adjust Stops (true) - Automatically adjust SL/TP to meet broker requirements
Run Diagnostic Test (true) - Test broker compatibility on initialization
📊 Real-Time Dashboard
Gravota displays a professional dashboard on your chart showing:
✅ EA Status - Monitoring / In Trade
✅ Broker Compatibility - Compatible / Partial / Issues (color-coded)
✅ Account Balance - Real-time balance display
✅ Current Position - Type (BUY/SELL) and profit/loss
✅ Risk:Reward Ratio - Current and target
✅ Last Spike - Time since last detected spike
Dashboard Colors:
🟢 Green: Fully compatible, trade executed successfully
🟡 Yellow: Partial compatibility, working with adjustments
🟠 Orange: Compatibility issues, check settings
💡 Unique Features
🎯 Single-Trade Focus
No martingale strategy
No grid trading
No position averaging
One trade at a time with fixed risk
Clean, professional approach
📈 Momentum-Only Trading
Trades only strong directional moves
Filters out noise and consolidation
Capitalizes on institutional momentum
High probability setups
🛡️ Spike Cooldown Protection
Prevents overtrading during single price event
Ensures each trade is independent
Avoids correlation between consecutive trades
🔄 Broker Auto-Adaptation
Works with 3, 4, and 5-digit pricing
Handles all lot size increments
Respects broker stop levels
Adapts to freeze levels
Universal compatibility
⚠️ Smart Account Warnings
Alerts when account is too small
Recommends minimum balance
Shows actual vs. target risk
Prevents unexpected losses
📝 Transparent Logging
Every action is logged:
Why trades were taken
How lot size was calculated
What adjustments were made
Why trades were rejected (if applicable)
Detailed error explanations
📈 Recommended Trading Conditions
🏆 Best Instruments
For Small Accounts (
100
−
100−500):
EURUSD, GBPUSD, USDJPY (standard forex)
Volatility 75, Volatility 100 (if broker allows 0.01 lot)
For Medium Accounts (
500
−
500−2000):
All major forex pairs
Deriv Volatility Indices (all types)
Deriv Crash/Boom indices
XAUUSD (Gold)
For Large Accounts ($2000+):
All supported instruments
Indices (US30, NAS100)
Multiple chart instances
⏰ Best Trading Times
Optimal Sessions:
London Open (07:00-09:00 GMT) - High volatility
New York Open (12:00-14:00 GMT) - Maximum volume
London/NY Overlap (12:00-16:00 GMT) - Best liquidity
Recommended Timeframes:
M1 - Maximum trading frequency (scalping)
M5 - Balanced frequency and quality
M15 - Lower frequency, higher quality
H1 - Swing trading approach
💰 Minimum Deposit Recommendations
Instrument Type Min Lot Recommended Deposit Risk %
Standard Forex 0.01
100
−
100−200 1%
Deriv V75/V100 0.01
500
−
500−1000 1%
Deriv V25/V50 0.005
500
−
500−800 1%
Deriv V10/Step 0.001
300
−
300−500 1%
Gold (XAUUSD) 0.01
500
−
500−1000 1%
Indices 0.1 $2000+ 1%
Note: Gravota will warn you if your account is below recommended size
🏢 Broker Requirements
Recommended:
✅ ECN or STP execution
✅ Low spread (< 2 pips on majors)
✅ Low stop level (0-10 pips ideal)
✅ Fast execution (< 100ms)
✅ No scalping restrictions
Compatible (with auto-adjustment):
⚠️ Market makers (may have higher spreads)
⚠️ Brokers with 10-20 pip stop levels
⚠️ Standard accounts
Tested & Verified Brokers:
IC Markets ✅
Pepperstone ✅
FP Markets ✅
Deriv ✅
Exness ✅
Tickmill ✅
Admiral Markets ✅
🚀 Why Choose Gravota v1.10?
🎯 For Traders
✅ Set and Forget - Fully automated, no manual intervention needed
✅ Risk Controlled - Never risks more than you specify
✅ Broker Independent - Works with your current broker
✅ Deriv Optimized - Perfect for Volatility Indices traders
✅ Transparent - See exactly what the EA is doing
🔧 For Strategy
✅ Proven Logic - Based on institutional momentum principles
✅ No Dangerous Methods - No martingale, no grid, no averaging
✅ Professional Exit - Trailing stop protects profits
✅ High Reward Ratio - 6:1 default (customizable)
💻 For Technology
✅ Universal Compatibility - Works on ANY MT5 broker
✅ Smart Error Handling - Explains issues clearly
✅ Low Resource Usage - VPS-friendly
✅ No Repainting - Honest, real-time signals
📊 For Performance
✅ Detailed Logging - Analyze every decision
✅ Backtest Compatible - Test historical performance
✅ Optimization Ready - Fine-tune for your preferences
✅ Multi-Symbol - Run on multiple charts simultaneously
📋 Installation & Setup
Step 1: Installation
Purchase and download Gravota from MQL5 Market
Open MetaTrader 5
Navigate to Navigator → Market → My Products
Install Gravota
Restart MT5
Step 2: Attach to Chart
Open any supported instrument chart
Select your preferred timeframe (M1 or M5 recommended)
Drag Gravota EA onto the chart
Adjust parameters if needed (defaults work well)
Click "OK"
Enable "AutoTrading" button in MT5 toolbar
Step 3: Verify Compatibility
Open "Toolbox" → "Experts" tab
Look for Broker Compatibility Check report
Verify you see: "✅ BROKER FULLY COMPATIBLE"
Check dashboard on chart for green status
If issues detected, follow recommendations in Journal
Step 4: Monitor
Watch dashboard for first spike detection
Check Journal for detailed logs
Verify trades are executed correctly
Adjust risk parameters if needed
⚠️ Important: Always test on demo account for at least 1 week before going live!
⚙️ Optimization Tips
For Maximum Frequency (More Trades)
Use M1 timeframe
Lower Spike Threshold to 5-8 pips
Shorter Time Window (3-5 seconds)
Trade during high volatility sessions
For Higher Quality (Fewer, Better Trades)
Use M5 or M15 timeframe
Higher Spike Threshold (15-20 pips)
Longer Time Window (10-15 seconds)
Use time filter for best sessions only
For Deriv Volatility Indices
Use M1 timeframe
Spike Threshold: 10-15 units
Time Window: 5-10 seconds
Risk: 0.5-1% (these instruments are volatile)
For Standard Forex
Use M5 timeframe
Spike Threshold: 10-12 pips
Time Window: 5 seconds
Risk: 1-2%
Trade during London/NY sessions
⚠️ Risk Disclaimer
Trading foreign exchange, CFDs, and derivatives carries a high level of risk and may not be suitable for all investors. The high degree of leverage can work against you as well as for you. Before deciding to trade, you should carefully consider your investment objectives, level of experience, and risk appetite.
Important Notes:
Past performance is not indicative of future results
Always test on demo account first (minimum 1 week)
Start with minimum risk percentage (0.5-1%)
Never invest more than you can afford to lose
Results vary by broker, instrument, and market conditions
No EA can guarantee profits
Gravota is a tool - Success depends on proper use, appropriate account size, broker quality, and market conditions.
📞 Support & Updates
🛠️ Technical Support
Professional support via MQL5 private messaging
Response time: Within 24-48 hours
Broker compatibility assistance
Optimization guidance
Setup troubleshooting
🔄 Free Updates
All customers receive free lifetime updates including:
Bug fixes
Performance improvements
New features
Broker compatibility expansions
MT5 platform updates
📚 Resources
Installation video guide
Optimization guide
FAQ document
Best practices manual
Broker compatibility list
🌐 Developer
Sapplanta Enterprise
Website: https://sapplanta.site
Specializing in professional trading automation
Committed to quality and customer success
🏆 What You Get
When you purchase Gravota v1.10, you receive:
✅ Gravota Expert Advisor - Fully compiled and ready to use
✅ Universal Broker Compatibility - Works with any MT5 broker
✅ Professional Dashboard - Real-time monitoring on chart
✅ Broker Diagnostic Tool - Built-in compatibility checker
✅ Detailed User Guide - Complete setup and optimization instructions
✅ Free Lifetime Updates - All future improvements included
✅ Professional Support - Direct assistance from Sapplanta Enterprise
✅ No Hidden Fees - One-time purchase, no subscriptions
📊 Product Specifications
Version: 1.10 (Universal Compatibility Edition)
Release Date: 2024
Platform: MetaTrader 5 (Build 3800+)
Type: Expert Advisor (Automated Trading System)
Strategy: Momentum Spike Scalping
Trading Style: Scalping / Day Trading
Timeframes: All (M1, M5 recommended)
Instruments: Forex, Metals, Indices, Commodities, Crypto CFDs, Deriv Synthetics
Risk Management: Fixed percentage per trade
Position Management: Single trade at a time
Execution: Market orders with SL/TP
Lot Sizing: Automatic (risk-based)
Compatible Lot Steps: 0.001, 0.005, 0.01, 0.1, 1.0
Stop Level Range: 0 pips to 50+ pips (auto-adjusts)
🎯 Perfect For
✅ Deriv Traders - Optimized for Volatility Indices
✅ Scalpers - Fast execution on M1/M5 timeframes
✅ Busy Traders - Fully automated, no monitoring needed
✅ Risk-Conscious Traders - Fixed percentage risk per trade
✅ Multi-Broker Traders - Works with any broker
✅ VPS Users - Low resource usage, stable operation
✅ Demo Testers - Backtest and forward test easily
🚀 Get Started Today!
Stop struggling with broker compatibility issues. Stop seeing "Invalid Stops" and "Invalid Volume" errors. Gravota v1.10 works out of the box with ANY MT5 broker.
One EA. Any Broker. Any Instrument. Professional Results.
❓ Frequently Asked Questions
Q: Will this work with my broker?
A: Yes! Version 1.10 works with ANY MT5 broker. The built-in compatibility checker validates your broker on startup.
Q: Can I use this on Deriv Volatility Indices?
A: Absolutely! Gravota is fully optimized for all Deriv synthetic indices including V10, V25, V50, V75, V100, Crash, Boom, and Step Index.
Q: What if my broker has 0.005 minimum lot size?
A: Gravota automatically detects and adapts to any minimum lot size (0.001, 0.005, 0.01, 0.1, or 1.0).
Q: My account is small ($100). Will this work?
A: Yes, but Gravota will warn you if your account is below the recommended size for your chosen instrument. You can still trade, but actual risk may be higher than target risk.
Q: Does this use martingale or grid strategies?
A: No. Gravota trades one position at a time with fixed risk percentage. No dangerous money management methods.
Q: Can I backtest this EA?
A: Yes, Gravota is fully compatible with MT5 strategy tester.
Q: How often does it trade?
A: Depends on timeframe and settings. On M1 with default settings, typically 2-10 trades per day during active sessions.
Q: What happens if my broker has high stop levels?
A: Gravota automatically adjusts SL/TP distances to meet your broker's requirements while maintaining the strategy logic.
Q: Do I get the source code?
A: No. MQL5 Market products are compiled .ex5 files only. This protects the intellectual property while ensuring you get a tested, professional product.
Q: Can I run this on multiple charts?
A: Yes! You can run Gravota on multiple instruments simultaneously. Just use different Magic Numbers for each instance.
Experience Professional Momentum Trading with Gravota v1.10
Where Universal Compatibility Meets Precision Trading
Developed by Sapplanta Enterprise | https://sapplanta.site
🎁 Limited Time: Early Adopter Pricing Available
Gravota - The Last Trading EA You'll Need
Professional. Reliable. Universal.
You are missing trading opportunities:
- Free trading apps
- Over 8,000 signals for copying
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