Ivan Pochta / Perfil
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⭐️ Market Gold Award for Achievement in EA Creation!
⭐️ 9+ years experience at MQL5.Market
⭐️ 1000+ satisfied customers
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Do you have questions about products or you need a support?
✅ Contact with me via Telegram: https://t.me/ivan_pochta
✅ Telegram Info Channel: https://t.me/ipfsystems
Gold Action EAI is a fully automated trading system built exclusively for XAUUSD (Gold) — one of the most volatile and profitable instruments in the market.
🚀 This is not a scalper, not a grid, and not a martingale.
⭐️ It is a portfolio-based gold trading engine designed to capture real market trends and impulses with strict risk control.
Over the 2020–2025 period, the Gold Action EAI portfolio demonstrated exceptional stability and performance on real broker data:
• Portfolio drawdown stayed below 5%
• Profit factor above 2.7–3.4
• Sharpe ratio above 4
• Strong recovery and smooth equity curve
In the flagship H1 Conservative MultiTrades mode alone, the system generated over $4,300 profit on a $5,000 account, while keeping equity drawdown below 4% — a level usually seen only in institutional-grade systems.
📈 Gold Action EAI works because it trades what really moves gold:
✅ liquidity, volatility, and directional momentum — not indicator noise.
It is designed to:
• Stay out of low-quality market phases
• Exploit powerful trend expansions
• Protect capital when conditions are unstable
• Scale into strong moves when probability is on its side
This is why the entire portfolio remains profitable, smooth, and risk-efficient across different market cycles.
Gold Action EAI is built for traders who want professional-grade gold trading — not gambling, not hype, just real market logic.
🚀 Gold Action EAI product page: https://www.mql5.com/en/market/product/157767
🦅 Stock Eagle EA product page: https://www.mql5.com/en/market/product/150626
I’m happy to introduce Stock Trader Pro v3.0 — the largest and most important update of the system in the last 5 years.
This release represents a major step forward in terms of risk control, stability, and overall portfolio performance.
🔑 Key changes in version 3.0
1️⃣ S&P 500 Trend Filter
A macro S&P 500 market regime filter has been added to the system. Its main purpose is to prevent trading during periods of market crashes and extreme turbulence, when price behavior becomes chaotic and risk is no longer predictable.
The filter proved especially effective during:
✅ Market-wide sell-offs (e.g. COVID crash)
✅ Periods of political and economic shocks (such as tariff wars and sudden policy decisions)
✅ The philosophy is simple: capital protection comes first — sometimes the best trade is no trade at all.
2️⃣ New Bollinger Bands–Based Trailing Stop
The trade management logic has been significantly upgraded. A new Trailing Stop mechanism based on Bollinger Bands has been implemented, allowing the system to:
✅ Hold strong trending moves longer
✅ Exit weakening impulses earlier
✅ Reduce profit giveback during ranging conditions
This change dramatically improved trade exits and overall equity smoothness.
📈 Performance Improvements
As a result of these upgrades:
✅ Average annual return increased to ~75% (compared to ~46% in the previous version)
✅ Maximum historical drawdown was reduced
✅ Stagnation periods became shorter
The equity curve became noticeably smoother and more stable
📊 Tested Stock Portfolio
AAPL, AMZN, AXP, CAT, DELL, GD, GOOGL, JNJ, JPM, KO, LMT, MA, MCD, META, MSFT, NOC, ORCL, PG, TSLA, V, WMT
🚀 Product page: https://www.mql5.com/en/market/product/36161
Hi everyone,
I’m happy to introduce Stock Eagle EA v2.0 — a major new release focused on one core objective: significantly increasing the system’s trading expectancy while improving capital protection and portfolio stability.
This update is not cosmetic — it introduces deep changes in market filtering, trade management, profit targeting, and portfolio structure.
🔑 Key changes in version 2.0
1️⃣ S&P 500 Trend Filter
A new S&P 500 market regime filter has been added to Stock Eagle EA.
Its role is to:
✅ Block trading during market crashes and high-volatility conditions
✅ Prevent entries during panic-driven sell-offs and macro-economic shocks
✅ Keep the system aligned with the broader US market trend
This greatly improves risk-adjusted performance and protects the strategy during periods when stock correlations spike and probabilities collapse.
2️⃣ Bollinger Bands–Based Trailing Stop
Stock Eagle EA now uses a new Trailing Stop based on Bollinger Bands.
This allows the system to:
✅ Ride strong trends longer
✅ Exit weakening moves earlier
✅ Reduce profit giveback in ranging or choppy markets
The result is a smoother equity curve and better trade exits.
3️⃣ New Take Profit Calculation Engine
The entire Take Profit logic has been redesigned.
Instead of static or fixed-style profit targets, Stock Eagle EA v2.0 now uses a dynamic TP mechanism that adapts to:
✅ Market volatility
✅ Strength of the current move
✅ The quality of the entry
This improves the system’s expectancy by increasing average win size while maintaining controlled risk.
4️⃣ Updated Stock Portfolio
The traded stock universe has been optimized for better correlation balance and performance:
ADI, AMZN, AXP, DELL, EBAY, GD, GOOG, IBM, JNJ, JPM, KO, LMT, MA, MCD, META, MSFT, NOC, ORCL, PEP, PG, V
This portfolio was selected to maximize diversification while preserving strong trend behavior.
🎯 Main Goal of v2.0: Higher Expectancy
All changes in version 2.0 were made with one clear objective:
Increase trading expectancy — more profit per unit of risk.
That means:
✅ Fewer low-quality trades
✅ Better exits
✅ Higher average reward per trade
✅ More stable long-term equity growth
🚀 Product page: https://www.mql5.com/en/market/product/150626
I’m happy to introduce Stock Trader Pro v3.0 — the largest and most important update of the system in the last 5 years.
This release represents a major step forward in terms of risk control, stability, and overall portfolio performance.
🔑 Key changes in version 3.0
1️⃣ S&P 500 Trend Filter
A macro S&P 500 market regime filter has been added to the system. Its main purpose is to prevent trading during periods of market crashes and extreme turbulence, when price behavior becomes chaotic and risk is no longer predictable.
The filter proved especially effective during:
✅ Market-wide sell-offs (e.g. COVID crash)
✅ Periods of political and economic shocks (such as tariff wars and sudden policy decisions)
✅ The philosophy is simple: capital protection comes first — sometimes the best trade is no trade at all.
2️⃣ New Bollinger Bands–Based Trailing Stop
The trade management logic has been significantly upgraded. A new Trailing Stop mechanism based on Bollinger Bands has been implemented, allowing the system to:
✅ Hold strong trending moves longer
✅ Exit weakening impulses earlier
✅ Reduce profit giveback during ranging conditions
This change dramatically improved trade exits and overall equity smoothness.
📈 Performance Improvements
As a result of these upgrades:
✅ Average annual return increased to ~75% (compared to ~46% in the previous version)
✅ Maximum historical drawdown was reduced
✅ Stagnation periods became shorter
The equity curve became noticeably smoother and more stable
📊 Tested Stock Portfolio
AAPL, AMZN, AXP, CAT, DELL, GD, GOOGL, JNJ, JPM, KO, LMT, MA, MCD, META, MSFT, NOC, ORCL, PG, TSLA, V, WMT
🚀 Product page: https://www.mql5.com/en/market/product/36161
ATR Plus es una versión mejorada del clásico ATR que muestra no sólo la volatilidad en sí, sino la energía direccional del mercado . El indicador convierte ATR en un oscilador normalizado (0-100), lo que le permite ver claramente: quién domina el mercado: compradores o vendedores cuándo comienza una tendencia cuando una tendencia pierde fuerza cuando el mercado entra en un rango cuando la volatilidad alcanza zonas de agotamiento ATR Plus es perfecto para sistemas basados en el impulso, el
>> Canal de anuncios << Gold Action EAI es un sistema de trading totalmente automatizado diseñado específicamente para operar con oro (XAUUSD) en los marcos temporales M5, M15, H1. El Asesor Experto se basa en la lógica clásica de Price Action Momentum , sin sobrecarga de indicadores y sin intentar predecir el mercado utilizando modelos de "caja negra". Las decisiones se toman exclusivamente a partir del comportamiento del precio: impulso, ruptura del rango y confirmación del inicio
Strategy B is a fully automated trading system designed specifically for Bitcoin and Ethereum. The EA is built on a ⭐️classical Price Action Momentum approach ⭐️ — no AI hype, no quantum terms, no over-complication.Only clean market structure, impulse detection, and strict risk-management. The EA does not rely on indicator stacking, eliminating the risk of overfitting. It uses only two technical tools:
✅ ADX → to detect range vs trend and confirm impulse strength
✅ Bollinger Bands → for a dynamic Trailing Stop
The entry signal itself is purely Price Action–based. This keeps Strategy B robust, universal, and resistant to historical curve-fitting
🚀 Key Feature — Professional Risk/Reward 3:1
Strategy B maintains an average Reward-to-Risk ratio above 3:1, which makes it suitable for professional, risk-controlled trading.
⚡️ Most profit comes from medium and strong directional moves — exactly where crypto performs best.
📈 Why Momentum Trading Works?
Momentum forms when liquidity enters the market. A large participant pushes price in a specific direction → volatility increases → a trend begins.
Crypto markets are high-volatility and naturally trend-driven, which makes momentum trading exceptionally effective.
🔍 Backtests clearly show: even during major crypto market crashes, Strategy B successfully captured these impulse moves.
🔥 Risk Management — No Martingale, No Grid, No Averaging
✅ Fixed Stop Loss and Take Profit
✅ Trailing Stop based on Bollinger Bands
✅ No martingale, No averaging, No grids
📊 Product page: https://www.mql5.com/en/market/product/156340
Strategy B is a fully automated trading system designed specifically for Bitcoin and Ethereum. The EA is built on a ⭐️classical Price Action Momentum approach ⭐️ — no AI hype, no quantum terms, no over-complication.Only clean market structure, impulse detection, and strict risk-management. The EA does not rely on indicator stacking, eliminating the risk of overfitting. It uses only two technical tools:
✅ ADX → to detect range vs trend and confirm impulse strength
✅ Bollinger Bands → for a dynamic Trailing Stop
The entry signal itself is purely Price Action–based. This keeps Strategy B robust, universal, and resistant to historical curve-fitting
🚀 Key Feature — Professional Risk/Reward 3:1
Strategy B maintains an average Reward-to-Risk ratio above 3:1, which makes it suitable for professional, risk-controlled trading.
⚡️ Most profit comes from medium and strong directional moves — exactly where crypto performs best.
📈 Why Momentum Trading Works?
Momentum forms when liquidity enters the market. A large participant pushes price in a specific direction → volatility increases → a trend begins.
Crypto markets are high-volatility and naturally trend-driven, which makes momentum trading exceptionally effective.
🔍 Backtests clearly show: even during major crypto market crashes, Strategy B successfully captured these impulse moves.
🔥 Risk Management — No Martingale, No Grid, No Averaging
✅ Fixed Stop Loss and Take Profit
✅ Trailing Stop based on Bollinger Bands
✅ No martingale, No averaging, No grids
📊 Product page: https://www.mql5.com/en/market/product/156340
🔥 Stock Eagle EA Product page: https://www.mql5.com/en/market/product/150626
🔥 Strategy B Product page: https://www.mql5.com/en/market/product/156340
¡ PRECIO DE PROMOCIÓN! ¡Sólo 1 ejemplar disponible a 199 $ ! Cada 5 copias vendidas, el precio aumentará. >> Canal de Anuncios << Estrategia B es un sistema de comercio totalmente automatizado diseñado específicamente para Bitcoin y Ethereum. El EA se basa en una acción de precio clásico - Momentum trading. Sólo limpia la estructura del mercado, la detección de impulsos, y una estricta gestión de riesgos. El EA no se basa en el apilamiento de indicadores, eliminando el riesgo de
Dear friends,
The time has finally come! I am proud to present Aureon EA — the most complex trading system I have ever created. The first ideas appeared several years ago. Just imagine how much time has passed from the initial concept to its full implementation.
⭐️ Aureon EA is a unique multi-strategy system that includes:
✅Intraday Trading — short-term intraday entries
✅Midnight Scalping — night scalping strategy
✅Swing Trading — precise medium-term entries
✅Index Trading — index-based strategies
✅Crypto Trading — cryptocurrency instruments
✅Two operating modes: Normal Mode and Reverse Mode
To be honest, I could have split Aureon EA into five separate products and sold each of them individually. But I decided to take a different path: to give you one universal product that each trader can use as they prefer — instead of buying multiple EAs. I don't want to tell fairy tales or mislead you like others do, claiming their systems are “powered by AI.” Technically, this is impossible to implement in a classical MQL5 Expert Advisor. They say it just to sell an EA riding the AI hype…
The trading strategy behind Aureon EA is based on technical analysis, specifically divergences — true old-school TA 😊 At the core of the system is my DiverX indicator. Most of the development time was spent on it — sometimes it’s very difficult to program what you clearly see on the chart…
📊 Product page: https://www.mql5.com/en/market/product/155478
Aureon EA es un Asesor Experto totalmente automatizado diseñado para el trading profesional y de alta precisión. El núcleo de la estrategia se basa en el análisis de divergencias, una de las herramientas más precisas y fiables en el análisis técnico.El EA identifica divergencias utilizando los siguientes indicadores: RSI, Estocástico, CCI, MACD, RVI. Basándose en una combinación de señales detectadas, el sistema decide si abrir una posición. Los filtros adicionales incluyen RSI, Bandas de
Divergence is one of the most powerful tools in technical analysis. Dozens of successful trading strategies are built around it.
It helps traders:
✅ identify trend reversal points (Regular Divergences),
✅ confirm the continuation of a trend (Hidden Divergences).
What is Divergence?
The word comes from the Latin divergere — “to diverge.”
In trading, divergence occurs when price and an indicator move in opposite directions:
- the price forms a new high or low, but the indicator does not confirm it, showing the opposite signal instead.
This discrepancy indicates a weakening trend and a possible reversal or correction.
🔍 The DiverX Indicator
DiverX is a professional tool for MetaTrader 4 and MetaTrader 5, designed specifically to detect divergences.
Key Features of DiverX:
— Detection of both Regular and Hidden divergences.
— Support for the most popular indicators: RSI, MACD, Stochastic, CCI, RVI.
— Flexible settings to adjust periods and parameters for maximum accuracy.
— Clear on-chart visualization — lines, arrows, and labels for easy analysis.
⚡️ DiverX makes divergence analysis simple and effective.
It shows when a trend is losing strength and helps you enter the market at the right moment.
📊 Product page:
MetaTrader 4: https://www.mql5.com/en/market/product/152958
MetaTrader 5: https://www.mql5.com/en/market/product/151942
DiverX es un potente y versátil indicador de divergencias desarrollado para la plataforma MetaTrader 4. Detecta divergencias regulares y ocultas basadas en cinco indicadores técnicos populares: RSI (Relative Strength Index) , RVI (Relative Vigor Index) , oscilador estocástico, CCI (Commodity Channel Index) y MACD (Moving Average Convergence Divergence) .El indicador traza los resultados directamente en el gráfico principal, proporcionando líneas visuales, flechas y etiquetas para facilitar el
DiverX es un potente y versátil indicador de divergencias desarrollado para la plataforma MetaTrader 5. Detecta divergencias regulares y ocultas basadas en cinco indicadores técnicos populares: RSI (Relative Strength Index) , RVI (Relative Vigor Index) , oscilador estocástico, CCI (Commodity Channel Index) y MACD (Moving Average Convergence Divergence) y ATR Plus (indicador propio del autor, página del producto >>) . El indicador traza los resultados directamente en el gráfico principal
⭐️How many Expert Advisors can truly deliver consistent results?
Do you know any that have been performing steadily for more than 5 years? Most likely not. But such systems do exist!
Stock Trader Pro MT5 is one of the very few public trading robots that has shown stable performance since its release back in 2020 — with no re-optimizations, no strategy changes for years.
The first major update came only in early 2025. And not because of poor performance — on the contrary, results were excellent. The update was introduced to implement new improvements and ideas.
Shortly after, the Trump Tariffs shook the markets. Yet Stock Trader Pro MT5 handled the situation with confidence:
⭐️ The drawdown remained below historical maximums
⭐️ Temporary losses were quickly recovered by profits
⭐️ The final result for 2025 was positive despite all the market chaos
✅ If you want to invest with peace of mind, without the fear of blowing your account…
✅ If you want stability, confidence, and consistent growth —
👉 Stock Trader Pro MT5 is the right choice for you!
🚀 Product page: https://www.mql5.com/en/market/product/36161





