Xaulux Prop Firm

https://www.mql5.com/es/market/product/191004?source=Site

https://www.mql5.com/es/users/manu28487/seller


XAULUX PROP FIRM

Estrategia y sistema de protección para cuentas de fondeo

¿Qué es XAULUX PROP FIRM?

XAULUX PROP FIRM es un Expert Advisor para MetaTrader 5 que opera exclusivamente sobre XAUUSD (oro). Combina una lógica de entrada basada en estructura de mercado con un conjunto completo de protecciones pensadas específicamente para superar y mantener cuentas de fondeo, donde una sola jornada mal gestionada puede significar perder la cuenta.

La estrategia: ruptura y reintento de estructura

El sistema analiza la estructura del gráfico en el timeframe elegido, identificando los últimos giros (swings) relevantes del precio: el techo y el suelo más recientes que realmente marcaron un cambio de dirección.

Cuando el precio rompe uno de esos niveles, el EA no entra a mercado de inmediato: coloca una orden pendiente (Buy Stop o Sell Stop) ligeramente por delante del nivel roto, a la espera de que el precio vuelva a testear esa zona y confirme la continuación del movimiento. Es decir, no se compra la ruptura en caliente, sino el reintento posterior — un enfoque que busca entradas con mejor relación riesgo/beneficio y menos entradas en falso.

Al no operar nunca a mercado en la entrada, y usar órdenes pendientes con caducidad configurable, el sistema evita quedarse "enganchado" esperando niveles que ya perdieron validez.

Dos modos de configuración

  • Scalper: pensado para una cadencia más rápida, con objetivos y protecciones ajustados a operativa más frecuente y de menor duración por operación.
  • Custom: control manual total — timeframe, take profit, stop loss, inicio y distancia del trailing stop, pausa entre señales y el offset de entrada. Permite adaptar el sistema al perfil de riesgo exacto de cualquier cuenta o casa de fondeo.

Gestión de riesgo

El tamaño de posición se calcula por lote fijo o por porcentaje de riesgo sobre el equity de la cuenta, a elección. El sistema mantiene como máximo una exposición por dirección (no acumula posiciones repetidas en el mismo sentido) e incluye protección frente a duplicar una entrada sobre el mismo nivel de precio.

El sistema de protección para cuentas de fondeo

Aquí está el verdadero valor de cara a pasar y mantener una cuenta de fondeo: un conjunto de filtros y límites, todos independientes entre sí y activables/desactivables uno a uno, que se pueden ajustar a la normativa exacta de cualquier firma.

Límites de pérdida y beneficio, diarios y semanales. En cuanto se toca el límite marcado —ya sea de pérdida o el objetivo de beneficio del día— el sistema cierra posiciones, borra pendientes y detiene la operativa. Es la protección contra el error más habitual que hace saltar una cuenta de fondeo: seguir operando después de un mal día, o de un buen día, intentando forzar más.

Drawdown general. Un límite de pérdida máxima total, medido sobre el balance inicial o sobre el máximo histórico de equity (a elegir), replicando la regla de "pérdida máxima" que exige prácticamente cualquier programa de fondeo.

Tope de lotaje. Un límite duro e independiente del cálculo de riesgo, para que ningún fallo de configuración dispare el tamaño de las posiciones por encima de lo permitido.

Frecuencia de operaciones y rachas de pérdidas. Límite de operaciones por día y corte automático tras un número determinado de pérdidas consecutivas — las dos causas más comunes de sobreoperar o de intentar "recuperar" una mala racha a base de más riesgo.

Horario de trading. El sistema solo abre operaciones nuevas dentro de la franja horaria configurada, evitando sesiones de baja liquidez donde la ejecución suele ser peor.

Filtro de noticias nativo. Calendario económico integrado de MT5, sin depender de ninguna fuente externa. Detecta eventos de impacto alto, medio y bajo (cada uno con su propia línea vertical de color en el gráfico) y puede bloquear la entrada de operaciones alrededor de los que se elijan — justo el tipo de restricción que muchas firmas de fondeo exigen de forma explícita.

Filtro de spread y deslizamiento. Evita abrir operaciones cuando el spread está anormalmente ancho, y bloquea temporalmente la entrada de nuevas operaciones si una ejecución reciente sufrió un deslizamiento excesivo — dos síntomas típicos de condiciones de mercado anómalas.

Cierre diario y protección de fin de semana. Cierra posiciones y borra pendientes en la ventana diaria de rollover del bróker y antes del cierre del viernes, evitando el riesgo de gaps de fin de semana que muchas firmas penalizan o prohíben directamente.

En resumen

La estrategia pone el foco en entradas de calidad —ruptura y reintento de estructura, sin entradas impulsivas a mercado— mientras que el sistema de protección actúa como una red de seguridad independiente: ninguna racha de pérdidas, ningún día descontrolado ni ninguna condición anómala de mercado puede por sí sola poner en riesgo la cuenta. Como cada protección se activa y ajusta por separado, el mismo EA se adapta a la normativa concreta de cualquier cuenta de fondeo sin tener que tocar la lógica de entrada.


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Benicanoko
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