Wavy Elliott

WAVY ELLIOTT: THE ARCHITECTURE OF COMPOSURE ON GOLD


The retail gold market is a crucible of noise, panic, and over-trading. Wavy Elliott does not participate in the chaos. It masters the silence.

Engineered exclusively for Gold (XAUUSD) on the 4-Hour (H4) timeframe, Wavy Elliott is an institutional-grade quantitative execution engine. Built strictly on top-down Multi-Timeframe (MTF) market structure and classical Elliott Wave cycle principles, this system completely discards lagging retail indicators. It operates with absolute mathematical composure, programmatically designed to say no to marginal setups so your capital remains protected.


I. THE MATHEMATICAL FOUNDATION
Wavy Elliott approaches the gold market as a series of repeating, fractal geometric cycles . By analyzing the market structural hierarchy across four distinct tiers (Monthly, Weekly, Daily, and the 4-Hour execution frame), the algorithm establishes directional consensus with absolute, unyielding certainty :
  • Programmatic Elliott Wave Engine: Evaluates pivot sequences to identify expansive Motive Impulse phases (Waves 1-2-3-4-5) and Corrective Cycles (ABC Zigzags, Flats, and contracting/expanding Triangles) with programmatic precision .
  • Asymmetric Fibonacci Gating: Tracks institutional Supply and Demand blocks, engaging the market only when price matches high-probability "Golden Pocket" reaction zones (50.0% to 61.8% retracements) .
  • Deterministic Price-Action Trigger: Rejects blind limit orders. Wavy Elliott requires structural candlestick confirmation (rejection wicks, engulfing momentum, or inside-bar breakouts) on the completed 4-Hour bar before a single unit of risk is allocated.
II. CAPITAL PRESERVATION & COMPENSATORY CONTROL
In elite asset management, performance is meaningless without defense. Wavy Elliott is fortified with a multi-layered risk-mitigation suite designed to meet the most stringent proprietary firm metrics :
  • Dynamic Equity Risk Calibration: Automatically normalizes contract lot sizes based on a precise percentage of account equity, keeping your capital exposure stable .
  • Structural TraTrailing Stop: Stop-losses are immediately locked behind hard structural swing pivots (Wave 2/4 boundaries) and trail progressively as waves develop, neutralizing trade risk while allowing macro trends to run for days or weeks .
  • Prop-Firm Drawdown Circuit Breakers: Real-time monitoring of daily start-balances and peak equity. If drawdowns breach pre-configured limits, the system instantly liquidates active baskets and halts trading to prevent emotional escalation under pressure .
  • Spread Spike Rollover Filter: Automatically blocks execution during the highly volatile NY-Tokyo rollover gap (21:00-23:00 GMT), shielding you from artificial price slippage .
III. COGNITIVE FLUENCY OVER CHOICE OVERLOAD
True luxury means someone has already done the thinking for you . Wavy Elliott eliminates decision fatigue and complex manual calibration :
  • Diagnostic Telemetry HUD: A dark-themed, sleek on-chart interface that displays live account drawdowns, active wave counts across multiple timeframes, and real-time execution diagnostics at a single glance .
  • Considered Default Optimizations: The system is shipped fully pre-optimized with considered default settings specifically for Gold. You do not need a degree in quantitative finance to deploy institutional discipline .
OPERATIONAL PROTOCOL (THE INVERSE INCENTIVE)
  • Who This Is Not For: Wavy Elliott is not a high-drawdown grid system, a martyr martingale, or a "get-rich-quick" retail toy. If you seek hyper-aggressive trading that risks account ruin for short-term dopamine highs, do not acquire this system .
  • No Compromise on Value: Our systems are priced statically. We do not participate in discount cycles, holiday sales, or promotional reductions . The price of Wavy Elliott represents the absolute confidence we hold in its mathematical logic .

Composure is a mathematical skill, not a hope . Acquire Wavy Elliott today to align your portfolio with unyielding institutional structure.


disclaimer : trading with this MT5 EA involves a high risk of capital loss, offers no guarantees of future performance based on historical data, and is used at your own exclusive financial and technical risk without any liability to the developer 。
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Benefit EA Uses only hedging accounts.     Benefit EA is a non-indicative flexible grid adviser with special entry points that provide a statistical advantage, revealed through the mathematical modeling of market patterns. The EA does not use stop loss. All trades are closed by take profit or trailing stop. It is possible to plan the lot increments. The "Time Filter" function is set according to the internal time of the terminal as per the displayed time of the instrument's server, not the oper
EA STFX BINARY TECHNOLOGIES EA STFX Binary Technologies is specifically designed for Binary MT5 products Volatility Index 75 and 100 The Expert Advisor can be used for Full Automatic and Semi Automated trading. EA STFX has various strategies such as: Day Trade, Averagging , Martingale, Anti Martingale and or combine the two Trading positions can be closed easily using panels such as close profit only, close buy, close sell, close all transactions The choice of indicators for position entries us
TS Trade
Carlos Reis Dos Santos
DESCRIÇÃO O TS Trade é um robô desenvolvido por profissionais com longa experiência no Mercado Financeiro. É baseado em algoritmos de negociação avançados. Tem como principal característica uma gestão de risco rigorosa. É perfeito para quem busca uma ferramenta eficaz para automatizar suas negociações. Instale o Robô e deixe que ele faça todo o trabalho por você. MÉTODO O TS Trade utiliza um algoritmo o qual possibilita identificar uma tendência do mercado a partir da movimentação de duas média
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Sovereign QTS v5
Christian David Salgado Vargas
1. QUANTITATIVE COMPOSURE & THE DOCTRINE OF RESTRAINT Sovereign represents a fundamental rejection of over-trading and retail market noise. Built natively in modular MQL5 for the MetaTrader 5 terminal, the system is governed by a singular, uncompromising directive: mathematical restraint. Rather than chasing every minor market tick to simulate value, the architecture operates as an elite gatekeeper. It is engineered to maintain absolute capital composure, actively filtering out marginal setups
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