Air Force Marshal Gold for MT5

Air Force Marshal – EA

Trades XAU/USD (Gold) Only

Air Force Marshal is a professional Grid-Based Recovery Expert Advisor designed specifically for XAU/USD (Gold) on the M5 Timeframe.

This EA combines Dynamic Grid Expansion, Adaptive Lot Scaling, Volatility Protection, and Strict Risk Control Logic to deliver structured and Controlled Recovery Trading.

It is not a Simple Martingale Robot.
It is a Hybrid Grid-Recovery System built to manage Drawdown, Control Exposure, and Close Positions using calculated Basket Profit Logic.

Core Trading Logic:

  • Dynamic Grid Expansion
  • Adaptive Lot Size Scaling
  • Basket Average Take Profit
  • Volatility Spike Protection
  • Spread Protection Filter
  • Daily Time Control System
  • Optional Force Closing at Midnight
  • Smart Drawdown Limitation

Trades are closed based on Calculated Average Basket Profit, not Random TP placement.

Input Settings Overview

Below is a clear explanation of the key parameters used to control the system.

1. Limit Loss Switch

  • True: Enables Stop Loss based on account balance percentage.
  • False: Trades without Stop Loss (full market exposure).

2. Volatility Spike Switch

  • True: Pauses trading when abnormal volatility exceeds a defined threshold.
  • False: Disables volatility protection.

3. High Risk Reward Switch

  • True: More aggressive mode, captures more opportunities.
  • False: Conservative mode, reduced exposure.

4. Mid Night Force Close Switch

  • True: Closes all open trades at a specified time to avoid overnight floating exposure.

5. Risk Buffer Percent

Adds a safety margin during Stop Loss execution to compensate for slippage.

6. Max Drawdown Percent

Defines the maximum allowed account loss percentage if price continues moving against open positions.
Works together with Limit_Loss_Switch when set to True.

7. Spread Size Limit

Prevents new entries when spread exceeds the defined limit.

8. Take Profit Pips

Defines the average basket Take Profit.
Calculated based on:

  • Number of open orders
  • Grid distance
  • Volume of each order

9. Volatility Spike Pips

Defines the pip threshold used to detect abnormal volatility.

10. Server Time

The EA operates using broker server time (GMT+2).

11. Day Start & End Time Controls

Used for daily reset logic and trading session control.

12. Trading Time Window

Defines when the EA is allowed to open new trades.

13. Mail Friday Report Time

Sends a performance summary notification (if MQID is configured).

14. Mid Night Force Closing Time

Defines the exact time when force closing occurs if enabled.

Real Market Behavior

When price moves against the initial position:

  • The grid expands progressively
  • Lot size scales according to defined coefficients
  • Distance between orders may adjust dynamically
  • Recovery occurs when price retraces to the Calculated Average Basket Profit


IMPORTANT – Activation Guidelines

Capital, Drawdown & Worst-Case Scenario Explanation

Before evaluating:

  • Maximum Drawdown
  • Recommended Capital
  • Worst-Case Scenario

      The following parameters must be carefully assessed:

      • Limit Loss Switch
      • Max Drawdown Percent
      • High Risk Reward Switch

          These three parameters directly determine how the EA handles Worst-Case Scenarios and overall risk exposure.

          A detailed review of Screenshot #3 in the Screenshot Section is required prior to configuration.

          Risk Configuration Logic

          When:

          Limit Loss Switch = TRUE

          The following actions are required:

          • Review the “Last Max Low” value shown on the chart (Screenshot #3).
          • Compare this value with the current account balance.
          • Adjust Max Drawdown Percent accordingly.

            Why?

            Because the “Last Maximum Low” (Maximum Adverse Excursion) represents the maximum adverse movement the system experienced before recovering into profit.

            This value provides a Realistic and Practical Reference for configuring Risk Control, Safeguarding Trading Capital, and enabling the user to clearly and accurately determine the Recommended Capital required to operate the system safely, efficiently, and sustainably over time.

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