Australian Canadian Mean Reversion EA
- Experts
-
German Pablo Gori
Developer Algorithmic Software & Trader | Founder CODE4TRADING
Argentina | 9 years as Retail Trader | 1000+ active traders using our products
CODE4TRADING: Democratizing Professional Trading Tools for Every Trader - Version: 1.0
- Activations: 7
Institutional Mean Reversion EA is a professional-grade, prop-firm-compliant Expert Advisor designed for MetaTrader 5. Built upon a sophisticated Bollinger Band mean-reversion strategy combined with RSI oscillation filters and an EMA-200 macro trend bias, this EA avoids reckless grids and dangerous martingale techniques. Every single trade is protected by a hard Stop Loss from inception, ensuring total risk governance.
Key Trading Strategy & Features
- Strategy: Bollinger Bands mean-reversion + RSI overbought/oversold confirmation + EMA-200 trend filter.
- Non-Repainting Logic: All indicator and price evaluations are strictly executed on closed bars ( shift = 1 ), completely eliminating repainting signals and false triggers.
- Risk Governance: No grid, no averaging down, and no martingale. Features built-in strict protections including a daily loss limit percentage, maximum total drawdown halt switch, spread protection filters, and rollover/weekend blackout management.
- Single Position Per Symbol: Operates cleanly with one active trade at a time, making it exceptionally compatible with strict proprietary trading firm rules.
Recommended Operating Parameters & Configuration
| Parameter | Recommended Setting | Details |
|---|---|---|
| Working Timeframe | H4 (Default: M15 optimized) | Balances market noise against clean statistical deviations. |
| Primary Symbols | AUDCAD, AUDNZD, NZDCAD | Range-bound, highly correlated currency pairs ideal for mean-reversion. |
| Alternative FX | EURUSD, GBPUSD, USDCHF | Highly liquid pairs respecting Bollinger reversals. |
| Gold (XAUUSD) | Optimized Fit | High volatility instrument; ensure spread filter is widened (~150–200 points). |
| Minimum Deposit | $1,000 (at 1:100 leverage) | Accommodates standard equity-based risk sizing comfortably. ($5,000+ required for 1:30 accounts). |
| Minimum Leverage | 1:100 (1:500 ideal) | 1:30 is fully supported under ESMA rules but requires higher operating capital to avoid margin restrictions. |
| Default Risk | 0.75% per trade | Conservative institutional risk sizing targeting steady, sustainable growth. |
Prop-Firm Compliance & Safety
Engineered specifically to pass strict evaluation and funded account challenges (such as FTMO, FundedNext, etc.). You can easily configure InpDailyLossLimitPct and InpMaxTotalDDPct to directly match your prop firm's internal risk parameters, keeping your trading account fully secure against unexpected market volatility.
- Please request the .set file to correctly configure the EA. Thanks!

