Genaro Nexus GL Evoltion EA

Genaro Nexus EA - GL Evolution

Genaro Nexus EA GL Evolution is an advanced Expert Advisor developed for automated trading in derivatives markets, with primary focus on the Volatility 25 Index (V25). It integrates a combination of technical strategies and institutional concepts, including Smart Money Concepts, Wyckoff, Order Blocks, Fair Value Gaps, volatility analysis and order flow reading, to identify entry points with high confluence of filters.

The robot operates on M1 and M5 timeframes, dynamically adapting to market conditions through trend, range and volatility modules. The system is highly configurable and allows adjusting trading hours, days of the week, daily profit and loss limits, pauses after profits, protections against consecutive losses and recovery modes.

Entry Strategy

The main entry logic uses multi-timeframe MACD cross as initial trigger. This signal is refined by a sequence of technical filters:

  • Market Context: break of structure (CHoCH), swing strength and close confirmation.

  • Order Blocks and POI: identification of institutional zones (Point of Interest) and order blocks, with configurable touch tolerance.

  • SMC (Smart Money Concepts): liquidity, FVG (Fair Value Gaps) and Order Blocks.

  • ICT: MSS (Market Structure Shift), optional Kill Zones and ICT Order Blocks.

  • Wyckoff: accumulation/distribution analysis, CHoCH and breakout retest.

  • Volatility Filters: dynamic ATR to validate movement strength.

  • Volume Filters: detection of abnormal volume to confirm institutional participation.

  • Laterality Filters: avoids trading in directionless markets.

This confluence of filters reduces the number of entries but seeks to increase signal quality.

Risk Management and Protections

The EA has a layered risk management system, fully configurable by the user:

  • Stop Loss and Take Profit: fixed in points or dynamic by ATR (configurable ratio).

  • Adaptive Trailing Stop: based on ATR multiples, with safety margin.

  • Virtual SL: option of virtual stop based on points, with close or trailing action.

  • Daily Limits: automatic lock when reaching defined daily profit or loss.

  • Protection Against Consecutive Losses: automatic pause after N losses, with daily reset, time pause or count-only modes.

  • Professional Martingale: optional and configurable. Allows defining maximum steps, multiplier, specific lots per step and maximum lot. Includes profit and loss locks to block martingale after reaching certain percentage changes in account balance.

  • Martingale Time Lock: prevents new martingale entry for a period after a position, avoiding risk overlap.

  • Partial Close: partially closes position when it reaches a profit in points, with configurable percentage.

  • Positive/Negative Bomb: increases position size when account reaches predefined profit or loss percentage, with number of entries and split between trailing and non-trailing.

  • Smart Recovery: reduces lot after a sequence of losses and returns to normal lot after N wins, smoothing drawdown.

  • Ghost Mode: after N consecutive losses, the robot enters observation mode and only resumes operations after recovery signals.

  • Phoenix: after a period of losses, waits for a minimum number of positive signals before resuming operations.

  • Pause After Big Profit: temporarily stops operations after a relevant gain, avoiding euphoria.

  • Automatic Close: closes all positions at a defined time.

  • Session Close: ends positions at the end of a specific session.

Selectable Operation Modes

The EA has independent modules that can be enabled or disabled by the user, according to their risk profile:

  • Jekyll & Hyde: alternates SL, TP and lot parameters between two times of day (sniper mode and big targets mode).

  • Eagle: triple filter requiring ADX and RSI alignment to release entries.

  • Wizard: detects RSI divergences and can trade with or against divergence, depending on chosen mode.

  • Ninja: pending or fractional entries (stealth) to reduce slippage.

  • Chameleon: identifies market regime (trend or range, volatile or calm) and releases entries according to desired mode.

  • Falcon: validates if current volatility is sufficient to trade.

  • Whale: requires abnormal volume to confirm entry, with own TP and SL.

  • Crab: trades breakouts of lateral ranges, with specific TP and SL.

  • Ant: anti-martingale that increases lot gradually after consecutive wins, limited by a ceiling.

Panel and Monitoring

  • Premium Panel: displays on chart information about signal, module states, balance, position and locks.

  • Profitability Line: draws a line with balance evolution.

  • Keyboard Commands: allows controlling functions without opening the parameters window.

  • Push Notifications: sending alerts to MetaQuotes ID.

  • CSV Logging: records all operations to file for later analysis.

  • Telegram: option to send messages to a Telegram chat (requires bot and chat ID configuration).

Adaptability to Different Assets

Genaro Nexus EA GL Evolution was developed to operate with all synthetic indices and forex pairs available on Deriv, as well as other assets compatible with MetaTrader 5. To do this, the user must adjust parameters for lot size, maximum spread, stop loss, take profit and margin according to the specifications of each symbol. Entry and exit logic is based on price action and indicators, not dependent on exclusive characteristics of a single asset.

Usage Recommendations

Before any live use, extensive validation on a demo account is recommended, testing different configurations of lot, spread and limits. Each asset and risk configuration may produce different results. The use of Martingale, Smart Recovery and Bombs increases risk and should be done with caution, respecting daily loss limit and equity protection.

Final Note:

We recommend using official settings to obtain results consistent with tests. All parameters can be adjusted for different assets, timeframes and strategies. Genaro Nexus EA GL Evolution is suitable for traders seeking control and flexibility.

For support and documentation, contact via comments section or MQL5 Market messages.

Risk Warning:

Trading in financial markets involves significant risks and may result in partial or total loss of invested capital. Past results, including backtests and forward tests, do not guarantee future profits. The buyer is responsible for assessing their risk tolerance and configuring parameters according to their profile.

After purchase, you can exchange experiences and obtain updates directly in the MQL5 Market comments section. We do not provide financial advice or promises of profitability. Past results, including real and demo account tests, do not guarantee future profits.


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