Flashpip Scalper

Flashpip Scalper EA 

Core System Overview

Flashpip Scalper is an AI-powered multi-symbol scalping system designed for the MetaTrader 5 platform. It employs advanced algorithmic trading strategies with real-time market analysis, risk management protocols, and session-based filtering to execute high-frequency trades across multiple currency pairs and gold (XAUUSD). The system is engineered for both validation testing and live trading environments.

Primary Trading Strategy

The EA implements a multi-timeframe trend-following scalping strategy that operates primarily on the M5 timeframe with confirmation from higher timeframes (M15, H1). The system uses a combination of technical indicators including EMA crossovers, RSI, Stochastic, ADX, and MACD to identify high-probability trade entries with strict confidence thresholds.

Key Technical Features

1. Multi-Symbol Trading Capability

  • Simultaneously monitors and trades up to 6 symbols: EURUSD, GBPUSD, USDJPY, USDCHF, AUDUSD, XAUUSD

  • Symbol-specific parameter optimization

  • Independent analysis per symbol with shared risk management

2. AI-Powered Signal Generation

  • Confidence Scoring System: Each trade signal receives a 0-100 confidence score

  • Multi-Indicator Fusion: Combines signals from 7+ technical indicators

  • Adaptive Thresholds: Minimum confidence requirement (default: 70%)

  • Trend Filtering: Uses H1 and M15 timeframes to confirm M5 signals

3. Advanced Risk Management System

Position Sizing

  • Dynamic Lot Calculation: Based on account balance and risk multiplier

  • Symbol-Specific Limits: Separate maximum lot sizes for forex (0.1) and gold (0.01)

  • Emergency Hard Caps: Forces 0.01 lots for gold on accounts under $5000

  • Broker Compliance: Proper volume normalization for netting accounts

Risk Controls

  • Daily Loss Limit: Configurable percentage (default: 3%)

  • Maximum Drawdown: Equity-based protection (default: 12%)

  • Concurrent Trade Limit: Maximum open positions (default: 1-2)

  • Correlation Protection: Limits trades on correlated symbols

4. Session-Based Filtering

  • Major Session Only Mode: Trades only during London (8-16 GMT) and New York (13-21 GMT) sessions

  • Asian Session Avoidance: Optional filter to skip 0-7 GMT

  • Weekend Gap Protection: Avoids trading near weekend market close

  • Time-Based Restrictions: Configurable trading hours

5. Trade Management Features

  • Fixed Stop Loss & Take Profit: Symbol-specific pip distances

  • Risk-Reward Ratios: 1:2 for forex (15 SL / 30 TP), 1:2 for gold (150 SL / 300 TP)

  • Trade Retry Logic: Automatic retry on failed order placement

  • Slippage Protection: Configurable maximum slippage allowance

6. Loss Recovery System

  • Consecutive Loss Pause: Automatic trading pause after 3 losses

  • Dynamic Risk Adjustment: Reduces lot sizes after losses

  • Cool-down Periods: Configurable pause duration (default: 30 minutes)

7. Technical Infrastructure

Indicator Framework

  • Real-time Data Processing: Simultaneous monitoring of all enabled symbols

  • Handle Management: Efficient indicator handle allocation and release

  • Buffer Synchronization: Proper time-series data alignment

  • Error Handling: Comprehensive validation of all indicator data

Symbol Management

  • Dynamic Initialization: Automatic symbol validation on startup

  • Broker Compliance: Proper symbol name formatting with suffix support

  • Volume Validation: Detailed lot size verification for each broker

  • Margin Calculation: Real-time margin requirement checking

8. Performance Tracking & Reporting

  • Real-time Statistics: Win rate, profit factor, P/L tracking

  • Daily Performance Reset: Automatic at market open

  • Comprehensive Logging: Detailed trade execution records

  • Dashboard Display: On-chart visual status panel

9. Market Validation Mode

  • Restricted Testing: Trades only the chart symbol during validation

  • Limited Frequency: Prevents trade flooding during tests

  • Log Control: Configurable logging for validation vs live trading

  • Alert Management: Disables unnecessary alerts during testing

Technical Architecture

Code Structure

  • Modular Design: Separated functional components

  • Object-Oriented Approach: Uses MQL5 standard libraries (CTrade, CPositionInfo, CSymbolInfo)

  • Memory Management: Proper handle release and array management

  • Error Handling: Comprehensive validation at all execution points

Key Data Structures

  • SymbolData Struct: Per-symbol configuration and state

  • PerformanceStats Struct: Trade performance tracking

  • TradeOpportunity Struct: Signal prioritization and management

Execution Flow

  1. Initialization: Symbol validation, indicator creation, parameter validation

  2. Market Analysis: Real-time indicator data processing across all symbols

  3. Signal Generation: Confidence scoring and trade signal creation

  4. Risk Assessment: Margin checking, position sizing, risk validation

  5. Order Execution: Trade placement with retry logic

  6. Position Management: Open trade monitoring (future enhancement for trailing stops)

  7. Performance Tracking: Real-time statistics updating

Parameter Optimization Areas

Trading Parameters

  • Confidence Threshold (70-85)

  • ADX Strength Minimum (25-35)

  • RSI Period (10-20)

  • EMA Periods (Fast: 10-20, Slow: 40-60, Trend: 150-250)

Risk Parameters

  • Risk Multiplier (0.005-0.02)

  • Daily Target Percentage (3-8%)

  • Maximum Concurrent Trades (1-3)

  • Stop Loss/Take Profit ratios

Session Parameters

  • London Session Hours (adjust for broker timezone)

  • New York Session Hours

  • Asian session avoidance settings

System Requirements

Platform Requirements

  • MetaTrader 5 Build 2000+

  • MQL5 Language Support

  • Netting Account Type (required for proper volume validation)

Broker Requirements

  • Support for all 6 trading symbols

  • Reasonable spreads (max 4 pips forex, 8 pips gold)

  • Standard lot sizes (0.01 minimum typically)

  • Adequate historical data for indicator calculation

Account Requirements

  • Minimum recommended balance: $100 (forex only), $500 (including gold)

  • Sufficient leverage for intended position sizes

  • No trade restrictions during major sessions

Validation & Testing

Backtesting Features

  • Strategy Tester compatible

  • Multi-symbol testing capability

  • Detailed error logging

  • Performance metric generation

Live Testing Features

  • Paper trading mode via Market Validation Mode

  • Real-time performance tracking

  • Comprehensive logging system

  • Alert and notification system

Development History

Version Evolution

  • v1.0: Initial release with basic multi-symbol capability

  • v1.9: Added gold trading with improved margin calculation

  • v1.91-1.93: Emergency fixes for small account gold trading

  • v1.94: Complete volume validation fix for netting accounts

Critical Fixes Implemented

  1. Gold margin calculation for small accounts

  2. Volume normalization for netting account requirements

  3. Error handling for "Invalid volume" broker rejections

  4. Proper symbol validation and initialization

  5. Comprehensive risk management for mixed symbol portfolios

Usage Guidelines

Initial Setup

  1. Attach to M5 chart of any symbol

  2. Configure enabled symbols based on account balance

  3. Set risk parameters appropriate for account size

  4. Enable/disable session filters based on trading style

  5. Configure logging level for debugging vs production

Monitoring Requirements

  • Regular review of trade logs

  • Performance metric tracking

  • Margin usage monitoring

  • Session timing awareness

Risk Management Compliance

  • Never override emergency hard caps

  • Maintain adequate account balance for intended positions

  • Monitor correlation during multi-symbol trading

  • Regular review of loss recovery system performance

Performance Characteristics

Expected Trade Frequency

  • 2-10 trades per day per symbol during active sessions

  • Variable based on market conditions and confidence thresholds

Risk Profile

  • Controlled risk per trade (0.5-2% of balance)

  • Daily loss limits prevent catastrophic losses

  • Drawdown protection preserves account equity

Profitability Targets

  • Daily target percentage configurable (default 5%)

  • Realistic expectations based on market conditions

  • Consistent application of risk management rules

Support & Maintenance

Regular Checks

  • Symbol availability and data feeds

  • Indicator calculation accuracy

  • Trade execution reliability

  • Performance metric validity

Update Requirements

  • Broker symbol name changes

  • MT5 platform updates

  • Regulatory requirement changes

  • Performance optimization opportunities

This system represents a sophisticated approach to algorithmic scalping with particular attention to risk management, broker compliance, and multi-symbol coordination. The architecture supports both validation testing and live trading while maintaining strict risk controls appropriate for various account sizes.


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Valentina Zhuchkova
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Adam Hrncir
4.82 (44)
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