Bneu AI Zenox EA
- Experts
- Marvinson Salavia Caballero
- Version: 1.0
- Activations: 15
🤖 Bneu AI Zenox EA Pro — Multi-Pair Swing Trading Portfolio
😩 Tired of scanning 16+ charts every day?
Most traders miss entries or overload correlated positions.
✅ Zenox EA monitors 16 forex pairs + gold from one chart.
Dual AI engine validates signals in live mode.
Correlation filter prevents overexposure.
3-tier partial take profit for swing-style holds.
Attach once — it manages the entire portfolio.
⚡ WHAT IT DOES
Attaches to any chart and manages all 16 pairs + gold simultaneously:
📊 Scans each pair on every new bar for swing trade setups
🧠 Validates signals through a dual AI engine in live mode
🔧 Uses a built-in ML heuristic model for backtesting (no API needed)
🔗 Filters out correlated pairs to avoid simultaneous exposure
🎯 Opens positions with ATR-based stop loss and 3-tier take profit
📈 Manages each position through partial closes, breakeven, and trailing stop
Plus a live dashboard panel showing:
Portfolio status, open positions,
AI connection, drawdown levels, signal history.
🏗️ 5-LAYER ARCHITECTURE
1. ML Model:
Analyzes 100 bars of price data per pair.
Works offline for backtesting.
No external connection needed.
2. Primary AI Engine:
Validates signals through a cloud AI endpoint.
Sends multi-pair portfolio context.
Receives confidence score and reasoning.
3. Fallback AI Engine:
If primary AI is unavailable,
a second independent engine takes over.
No missed signals due to downtime.
4. Portfolio Manager:
Monitors all 16 pairs for correlation.
If EUR/USD and GBP/USD are 80% correlated,
only the stronger signal gets through.
Enforces daily, weekly, monthly drawdown limits.
5. Position Manager:
Partial take profits: TP1 (30%), TP2 (30%), TP3 (40%).
Breakeven after 50% of TP1.
Trailing stop (2x ATR) after 70% of TP1.
🔗 CORRELATION FILTER
Before opening any new position,
the EA calculates correlation against all open positions:
📐 Default threshold: 0.7 (70%)
📏 Lookback: 100 bars
⚖️ Too correlated? Only the stronger signal passes
🛡️ Prevents blowups from clustered USD or JPY exposure
🛡️ RISK MANAGEMENT
Multi-layer drawdown protection built into every trade:
💰 Base risk: 1.0% per trade (adjustable)
📊 Max open positions: 8
⚠️ Max portfolio risk: 5.0%
📉 Daily drawdown limit: 3.0%
📉 Weekly drawdown limit: 8.0%
📉 Monthly drawdown limit: 15.0%
🚨 Emergency equity stop: 25% (closes all positions)
🎯 3-TIER PARTIAL TAKE PROFIT
Each position is managed in three stages:
1. TP1 at 2.0x ATR — close 30% of the position
2. TP2 at 4.0x ATR — close another 30%
3. TP3 at 6.0x ATR — close the remaining 40%
🔒 Breakeven trigger at 50% of TP1
📈 Trailing stop activates at 70% of TP1 (2.0x ATR distance)
This locks in profit early while letting winners run.
📋 DASHBOARD PANEL
Live on-chart panel with one-click minimize:
🟢 Mode indicator (Backtest / Live with AI status)
📊 Portfolio overview (open positions, total pairs active)
🧠 AI connection status and call counter
💹 Per-position details (pair, direction, entry, current PnL)
📉 Drawdown meters (daily, weekly, monthly)
📝 Last signal and AI reasoning
🔗 Risk and correlation status
💱 TRADING PAIRS (16 + Gold)
📌 USD Majors:
EURUSD, GBPUSD, AUDUSD, NZDUSD,
USDCAD, USDCHF, USDJPY
📌 Crosses:
EURGBP, EURJPY, GBPAUD, GBPJPY,
AUDCHF, AUDNZD, NZDCAD, NZDJPY
📌 Commodity: XAUUSD (Gold)
Each pair can be individually enabled or disabled.
⚙️ PARAMETERS
📂 Portfolio Selection:
17 individual pair toggles (all enabled by default)
🧠 ML Model:
Historical bars for input (default 100)
Min model confidence 0-100 (default 60)
Use ONNX in backtest toggle
🤖 AI Validation:
Enable AI validation (default true)
Min AI confidence 0-100 (default 75)
Enable fallback engine (default true)
Request timeout in ms (default 8000)
Log AI reasoning toggle
🛡️ Risk Management:
Base risk per trade % (default 1.0)
Max open positions (default 8)
Max portfolio risk % (default 5.0)
Max correlation 0-1 (default 0.7)
Daily / weekly / monthly drawdown limits
📊 Position Management:
Partial TP toggle and percentages (30/30/40)
Breakeven trigger % (default 50% of TP1)
Trailing stop toggle, start %, ATR multiplier
🚪 Exit Strategy:
Max hold days (default 30)
Exit before weekend gap toggle
Exit before high-impact news toggle
Emergency equity stop % (default 25)
🎯 TP/SL:
SL ATR multiplier (default 2.0)
TP1/TP2/TP3 ATR multipliers (default 2.0 / 4.0 / 6.0)
Min risk:reward ratio (default 1.5)
🔧 Trade Settings:
Magic number, slippage, trade comment
Dashboard position and toggle
🧪 BACKTESTING
Works in MT5 Strategy Tester.
No external connection needed.
The built-in ML model replaces the AI engine.
Test across multiple years of data.
No API key or internet required.
🔑 10 activations included.
💬 SUPPORT
We fully support all our products.
Questions, issues, or bugs?
Message us on our MQL5 profile
or leave a comment on the product page.
We respond to every message. ⭐
