LevelTide XAU
- Experts
- Version: 3.61
- Activations: 5
Institutional Expert Advisor • MetaTrader 5
An automated, high-precision, dual-strategy solution designed exclusively for trading XAUUSD.
1. Project Overview
LEVELTIDE XAU is a cutting-edge Expert Advisor (EA) developed specifically to maximize trading profitability in the gold pair XAUUSD within the MetaTrader 5 platform. Its architecture combines two fully independent strategies operating in harmony: a main module focused on key level breakouts and a FlowSweep module dedicated to capturing institutional liquidity sweeps.
2. Dual-Strategy Architecture
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Main Module (Breakouts):
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Analyzes supports, resistances, and adaptive levels across multiple timeframes (H1 to W1).
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Entries validated through closed candles, trend context, and market strength conditions.
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Risk management based on equity percentage (default 3,5%) with a controlled maximum lot size.
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FlowSweep Module (Liquidity):
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Detects rapid price movements and expansions around critical liquidity zones.
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Filters entries by evaluating volatility, candle size, and momentum on M15.
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Uses a configurable, separate volume to diversify execution.
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3. Operational Management & Technical Requirements
The EA must be installed exclusively on an XAUUSD M5 chart, from which it autonomously manages multiple timeframes (M1, M5, M15, H1, H4, D1, and W1) without requiring multiple executions.
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Account Type: Hedging accounts are recommended to allow both modules to independently manage positions on the same symbol.
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Protection & Control: Includes strict maximum spread control (configurable in USD), weekly market close protection, session filtering, automatic Stop Loss and Take Profit, break-even trailing, and progressive protection.
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Security: Fully autonomous code; does not use DLLs, external files, or subscription services.
4. Historical Backtest Results (2022–2026)
Rigorously tested in the MetaTrader 5 Strategy Tester with 100% history quality based on real ticks, an initial deposit of USD 3,000, 1:500 leverage, and a period from April 1, 2022, to August 3, 2026.
| Key Metric | Simulated Result | Key Metric | Simulated Result |
| Net Profit | USD 14,590.31 (+486%) | Sharpe Ratio | 6.32 |
| Profit Factor | 3.32 | Max. Balance Drawdown | 18.53% |
| Recovery Factor | 10.21 | Max. Equity Drawdown | 21.75% |
| Total Trades | 133 (60.15% Win Rate) | Expected Payoff / Trade | USD 109.70 |
Commercial Transparency Note: The historical results presented correspond to rigorous backtesting simulations under real tick conditions and do not guarantee future performance. Financial market trading involves risks that must be evaluated according to each investor's capital and risk profile.
