EA FVG OswalTrading
- Experts
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William Oswaldo Mayorga Urduy
MQL4 and MQL5 trader and developer since February 2019, delivering projects in under one day and providing post-delivery technical support.
Optimized code, advanced logic, and high-quality code. - Version: 1.0
- Activations: 10
EA FVG OswalTrading: Mastery of Structural Inefficiencies
EA FVG OswalTrading is a high-end algorithmic trading system designed to capitalize on Fair Value Gaps (FVG) with institutional precision. In a testing period spanning over 6 years (2020-2026), the system has demonstrated exceptional robustness, maintaining a constant and professional growth curve. With a Profit Factor of 1.23 and risk management that limits the maximum equity drawdown to just 17.52%, this expert positions itself as an essential tool for capital preservation and growth.
Strategy and Technical Performance
The bot's architecture is based on a High Reward statistical advantage. Although it maintains a moderate win rate, its Average Win vs. Average Loss Ratio is 2.43, meaning each winning trade more than covers two losing trades. This positive asymmetry allows for solid growth streaks, optimizing market trend utilization without exposing the account to unnecessary risks.
Parameter Guide (Functional Configuration)
Price Analysis Parameters
Minimum Imbalance Threshold: Sets the minimum size in points that the Gap must present to be considered a high-probability opportunity.
Reference Candle History: Determines the depth of retrospective analysis to validate inefficiency formation.
Trend Continuity Filters: Allows the user to require FVG formation candles to close in favor of the operating direction, increasing the quality filter.
Capital and Operational Management
Risk Model Selector: Defines whether to operate with fixed volume or exposure proportional to the balance.
Trade Exposure Configuration: Currently optimized at 1% of capital, facilitating stable compound growth.
Technical Exit Compensation: Safety margin in points for the invalidation level.
Dynamic Target Multiplier: Configures the Take Profit to be 2.5 times higher than the initial risk, guaranteeing the system's positive mathematical expectation.
Visual and Graphical Interpretation
The system operates on a clean database. The user will see how the algorithm projects value zones where institutional imbalance originated. Entry is executed automatically when the price returns to mitigate the inefficiency, with clearly defined exit levels from the first microsecond of the trade.
Operation Guide
The flow is fully automated. EA FVG OswalTrading manages the complete cycle: from Gap detection to closing by target or protection. Periodic monitoring is recommended, although the bot is designed to operate autonomously under standard market conditions, always respecting pre-established risk limits.
Optimization and Recommendations
Asset: Optimized for EURUSD pair liquidity.
Timeframe: 15-minute time frame (M15).
Capital Recommendation: It is suggested to operate on accounts that allow fractional risk management (e.g., 0.01 lots) to maximize the efficiency of the compound interest model.
