DA6 Wyckoff EA

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1 week
0 / 0 USD
growth since 2026 2%

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  • Equity
  • Drawdown
Trades:
11
Profit Trades:
7 (63.63%)
Loss Trades:
4 (36.36%)
Best trade:
27.12 USD
Worst trade:
-5.48 USD
Gross Profit:
40.51 USD (18 438 pips)
Gross Loss:
-12.40 USD (4 457 pips)
Maximum consecutive wins:
5 (39.87 USD)
Maximal consecutive profit:
39.87 USD (5)
Sharpe Ratio:
0.31
Trading activity:
0.08%
Max deposit load:
0.00%
Latest trade:
22 hours ago
Trades per week:
11
Avg holding time:
11 minutes
Recovery Factor:
2.28
Long Trades:
6 (54.55%)
Short Trades:
5 (45.45%)
Profit Factor:
3.27
Expected Payoff:
2.56 USD
Average Profit:
5.79 USD
Average Loss:
-3.10 USD
Maximum consecutive losses:
2 (-9.18 USD)
Maximal consecutive loss:
-9.18 USD (2)
Monthly growth:
1.95%
Algo trading:
100%
Drawdown by balance:
Absolute:
0.00 USD
Maximal:
12.32 USD (0.83%)
Relative drawdown:
By Balance:
0.83% (12.32 USD)
By Equity:
0.04% (0.63 USD)

Distribution

Symbol Deals Sell Buy
US30 7
DE40 3
USTEC 1
1 2 3 4 5 6 7
1 2 3 4 5 6 7
1 2 3 4 5 6 7
Symbol Gross Profit, USD Loss, USD Profit, USD
US30 21
DE40 6
USTEC 1
10 20 30 40 50
10 20 30 40 50
10 20 30 40 50
Symbol Gross Profit, pips Loss, pips Profit, pips
US30 8.5K
DE40 5.4K
USTEC 79
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
  • Deposit load
  • Drawdown
Best trade: +27.12 USD
Worst trade: -5 USD
Maximum consecutive wins: 5
Maximum consecutive losses: 2
Maximal consecutive profit: +39.87 USD
Maximal consecutive loss: -9.18 USD

The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "ICMarketsSC-MT5-6" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

No data

DA6 Wyckoff EA
Automated Signal Provider Based on Classical Market Structure Theory

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Intended Symbols

Parameter configurations are calibrated specifically for these 7 symbols under IC Markets: DE40, US30, USTEC, US500, UK100, STOXX50, and US2000. Performance shown on this signal is based on these calibrated symbols.

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Signal Detection Modules

This system runs two complementary structure-detection modules, each identifying opportunities from a different angle. Both operate on second-level bars with a higher-timeframe trend filter to reduce counter-trend noise.

Wyckoff Structure Signals: identifies classical accumulation, re-accumulation, distribution, and re-distribution to locate key turning points and continuation zones within the higher-timeframe trend.

Absorption Signals: identifies micro-structure moments where price meets counter-side absorption at key levels and reverses on momentum exhaustion, capturing shorter-term reversal opportunities.

Each module runs independently with its own trade management logic, complementing the other across different market conditions.

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Order Management

Every trade, regardless of originating module, is handled by fully automated logic:

- Entry: placed automatically once structure is confirmed
- Break-even (BE): stop loss moved to break-even after a preset profit threshold
- Partial take-profit (TP1 / TP2): positions closed in stages
- Trailing stop: after TP1, stop loss trails price structure dynamically

The entire process, from open to close, runs without manual intervention. Execution details (BE/TP/trailing levels, active sessions) differ by symbol since each is calibrated independently — this is expected, not an error.

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Risk Management

- Per-trade risk control: risk exposure per trade is a user-configurable input; position size is calculated accordingly
- Account-level circuit breaker: new orders halt automatically once daily drawdown reaches 5% of the day's starting equity; open positions continue to be managed independently
- Session filtering: automatically avoids historically low-liquidity sessions
- Abnormal execution handling: automatic detection/skip logic for abnormal slippage or failed orders
- Reconnection recovery: after a terminal/VPS restart, management state is rebuilt directly from actual broker positions

These features assist risk management and do not guarantee profit.

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Parameter Methodology

Parameters are derived from historical data via a statistical process — outlier screening, overfitting checks, and cross-period stability testing — rather than default templates. Periodic parameter review is planned to account for evolving market structure.

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Risk Disclosure

Trading forex and CFDs involves substantial risk and may result in partial or total loss of invested capital; it is not suitable for all investors. Historical or simulated results do not guarantee future returns and do not constitute investment advice. This signal is calibrated for, and intended to be used on, the 7 symbols listed above under IC Markets.

No reviews
2026.07.09 15:41
This is a newly opened account, and the trading results may be of random nature
2026.07.09 15:41
The number of deals on the account is too small to evaluate trading quality
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