Gold Harvester Pro

Gold Harvester Pro is a trading system developed specifically for the XAUUSD (Gold) pair. The system is designed to operate on the M5 and M15 timeframes. It identifies potential market entries by analyzing volume spikes and identifying liquidity zones. The program includes multiple risk management algorithms to adjust position sizes based on market volatility and previous performance.

Trading Logic

The program monitors the market for areas where significant volume indicates increased activity. It defines liquidity zones by calculating the highest high and lowest low over a user-defined period. Trades are executed using either instant market orders or pending stop orders to capture price momentum. A trend filter based on the 200-period Exponential Moving Average (EMA) is included to align trades with the long-term market direction.

Key Features

  • Detection of volume spikes for entry signals.
  • Analysis of liquidity zones for stop loss and take profit placement.
  • Selection of different money management algorithms, including volatility-based risk.
  • Trading restrictions based on London and New York market sessions.
  • Internal management of stop levels to monitor trades without sending data to the broker server.
  • Protection features including daily loss limits and account drawdown stops.
  • Automated functions for partial profit taking and trailing stops.

Input Parameters

Strategy Settings

  • Lookback Bars - The number of bars used to calculate the liquidity range.
  • Volume Threshold - A multiplier used to detect significant volume spikes.
  • Trend Filter - Enables or disables the 200 EMA direction filter.
  • EMA Period - The period used for the trend filter calculation.

Execution and Timing

  • Execution Mode - Selects between pending stop orders or market execution.
  • Session Logic - Restricts trading to specific hours of the day.
  • London Open/Close - Operational hours for the London market session.
  • New York Open/Close - Operational hours for the New York market session.
  • Avoid News Times - Specific times when the program will pause trading.
  • Cooldown Seconds - The minimum time interval between trade attempts.

Money Management

  • Management Mode - Selection of the algorithm used to calculate lot sizes.
  • Risk Percent - The percentage of account equity risked on a single trade.
  • Max Lot Limit - The maximum volume allowed for any single position.
  • ATR Period - The period for the Average True Range indicator.
  • ATR Multiplier - A multiplier applied to the ATR for volatility-based stops.
  • SMC Mode - An option to target specific risk-to-reward ratios.

Risk Protection

  • Daily Loss Limit - The maximum percentage loss allowed within one day.
  • Account Drawdown Limit - The maximum total drawdown allowed before trading stops.
  • Kill Switch - An emergency loss amount in currency that triggers the closing of all positions.
  • Consecutive Loss Pause - The number of losses allowed before a temporary pause.
  • Pause Duration - The length of the trading halt in hours.

Profit and Protection

  • Virtual Stops - Enables internal management of stop loss and take profit levels.
  • Emergency SL - A failsafe stop loss in points placed on the broker server.
  • Partial Profit - Enables closing a portion of the position at the first target.
  • Trailing Stop - The distance in points used for the dynamic trailing stop.
  • Breakeven - Moves the stop loss to the entry price once a profit target is reached.

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Goldwave Ultra EA
Shengzu Zhong
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Real Trading Account — LIVE SIGNAL | IC MARKETS: https://www.mql5.com/en/signals/2339082 GoldWave Ultra uses the same core trading logic and execution framework as the verified live signal shown above on MQL5. When running the EA with the recommended optimized settings on a reputable ECN/RAW-spread broker ( e.g., TMGM ), its live trading behavior is designed to closely follow the trade structure, risk management, and execution characteristics demonstrated by the live signal. Please note that ind
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BYRDI - The Distributed Trading Network That Coordinates the Portfolio. Most Expert Advisors see one terminal, one account, and one set of positions. BYRDI sees the wider network. BYRDI connects separate MetaTrader 5 terminals into a coordinated trading mesh. Each node can keep its own account, broker, markets, strategy, AI model, capital allocation, and risk settings while sharing the information needed for wider portfolio awareness. The network can coordinate execution, limit duplicated expos
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