AtriVanta Matrix MT5 EA

AtriVanta Matrix MT5 EA (239「サンキュー」)

About Naming: 
  • Atri — ATR-based trading structure.
  • Vanta — depth, advanced analysis, and a strategic market viewpoint.
  • Matrix — the multi-factor signal engine and visual dashboard.

  • Short description

    A self-contained MetaTrader 5 Expert Advisor combining proprietary multi-factor confluence, internal trend confirmation, a live final-decision panel, ATR-based risk-capped scale-in logic, and structured multi-stage trade management.

    Product description

    AtriVanta Matrix EA is a self-contained trading system for MetaTrader 5. It combines market direction, momentum, volatility, volume, and price-structure measurements into one decision process. The objective is to act only when several independent conditions support the same market direction.

    Launch pricing

    The unlimited license starts at USD 398. The price is planned to increase after every 10 unlimited-license sales until it reaches the final planned price of USD 2,588. The price displayed on the MQL5 Market product page at the time of purchase is the applicable price.
    Price Structure will be
    First 10 Licenses 239, 
    and with every 10 licenses price will increase by 50 and so on. Total Licenses are limited to 1000 only.

    Supported instruments and timeframe

    The EA is designed to operate on liquid Forex symbols and XAUUSD Gold. Recommended Forex symbols are EURUSD, GBPUSD, USDJPY, AUDUSD, USDCAD, USDCHF, and NZDUSD. The recommended timeframe for these instruments and XAUUSD is H1.

    XAUUSD is supported by the EA's symbol-aware ATR calculations, risk-based volume calculation, spread control, and broker stop-level handling. Gold contract specifications, point values, spreads, tick values, and execution conditions vary between brokers, so XAUUSD must be tested with the intended broker before live use.

    The EA operates on the symbol of the chart to which it is attached. To trade more than one instrument, attach a separate EA instance to each chart and assign an appropriate magic number to each installation. Other symbols and timeframes may operate technically but should be treated as unvalidated until tested separately. Symbol support does not imply identical results across instruments, brokers, or timeframes.

    Multi-factor market analysis

    The EA uses a proprietary multi-factor confluence model covering trend, momentum, volatility, volume, and price structure. Independent market measurements are combined into a single directional assessment without exposing the internal scoring formula or calibration.

    Signals are evaluated on completed candles to reduce intrabar state changes. The resulting market state is classified as bullish, bearish, or neutral before a new trade decision is considered.

    Internal trend confirmation

    An internal trend ribbon provides an additional view of direction, expansion, contraction, and transitional market conditions. Graduated ribbon colors and state-colored candles make the current assessment easier to identify. Green represents a bullish state, red represents a bearish state, and yellow represents a mixed or transitional state.

    The trend model is part of the EA's decision process and is not only a chart display. Its exact periods, calculations, confirmation thresholds, and interaction with the confluence engine remain internal.

    Risk-capped ATR scale-in structure

    When scale-in operation is active, the EA treats all entries as one managed basket. A basket can be built through up to four volatility-adjusted entry stages with decreasing internal allocations.

    The combined volume remains capped to the original risk-sized basket volume. Position size does not multiply after a losing entry, so this is not a martingale or unlimited recovery grid. Additional entries require continued confirmation from the internal decision model.

    Protective trade management and the complete scale-in structure are included in the initial basket-risk calculation. Exact spacing, allocation, and stop formulas remain internal.

    Structured target and exit management

    Open baskets are managed from their weighted average entry price. The EA uses four staged volatility-adjusted objectives named TGT1, TGT2, TGT3, and TGT4. Depending on confirmed market conditions and basket progress, management can include partial closing, break-even protection, trailing control, and a remaining runner position.

    The system can also close or reverse exposure when its internal exit conditions are satisfied. Exact target distances, close allocations, break-even activation, trailing rules, and reversal thresholds remain internal. Basket state is maintained so trade management can continue after a terminal or chart restart.

    On-chart direction and final decision

    The upper-left decision panel separates market direction from the final actionable state. Direction is displayed as bullish, bearish, neutral, or waiting. The larger final-decision field displays BUY, SELL, WAIT, or WAITING.

    The final decision reflects the same combined confirmation process used by the execution system. A bullish or bearish market direction can therefore remain in WAIT when all internal entry requirements have not yet been satisfied.

    The panel also displays the current signed confluence value, ribbon state, and a count of BUY, SELL, and WAIT states from the analytical matrix.

    Signal matrix and detailed dashboard

    The lower-right matrix provides a compact visual summary of Trend, Momentum, RSI, Volatility, Volume, and Position. Each row uses seven illuminated blocks to communicate state and relative strength. Green represents bullish or active conditions, red represents bearish or weak conditions, and yellow represents neutral or transitional conditions.

    The lower-left dashboard provides the detailed view, including individual factor values, factor votes, confluence, spread condition, position information, basket progress, and current EA status.

    Together with the graduated trend ribbon, state-colored candles, and trade and target markers, these panels make it possible to see both the final decision and the measurements behind it directly on the chart.

    Self-contained operation

    All signal calculations, ribbon logic, scale-in management, target handling, matrix calculations, and dashboard components are contained inside the Expert Advisor. No external custom indicator is required. The EA supports MetaTrader 5 account environments that use either netting or hedging position accounting.

    Testing and use

    Attach the EA to a MetaTrader 5 chart and enable algorithmic trading. Always backtest it before use with the intended symbol, timeframe, broker conditions, commission, and realistic spread and execution assumptions. Use the Every tick based on real ticks testing mode when suitable broker tick history is available. Forward testing on a demo account is recommended before considering live deployment.

    Trading involves substantial risk. No Expert Advisor can guarantee future results or eliminate losses. Market gaps, spread changes, slippage, execution delays, different broker data, and changing market conditions can materially affect performance. Automated trading can result in a partial or total loss of trading capital. Use conservative risk settings, monitor operation regularly, and trade only with money you can afford to lose. Do not use borrowed money or funds required for essential expenses.


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