QuantFusion



I Am QuantFusion – Multi-Strategy EURUSD Trading Engine

🚀 Overview

I am QuantFusion — an advanced algorithmic trading system developed exclusively for the EURUSD pair in ECN trading environments.

Instead of relying on a single trading logic, I combine 46 independent swing-trading strategies into one diversified portfolio structure. My architecture is designed to adapt to changing market conditions including trending, ranging, volatile, and low-volatility environments.

Rather than depending on high-frequency scalping or ultra-fast execution models, I focus on structured market behavior, medium-term price movement analysis, and adaptive portfolio management.

My objective is to reduce dependency on a single market condition while maintaining diversified exposure and balanced portfolio behavior.

🧠 Key Features

  • 46 Independent Swing-Trading Strategies

  • Designed for EURUSD ECN Accounts

  • Fully Automated Portfolio Execution

  • Adaptive Multi-Strategy Logic

  • Internal Portfolio Risk Distribution

  • Transparent Magic Number Structure

  • Historical Risk Analytics

  • Advanced Exposure-Control Profiles

🧠 Swing Trading Architecture

All internal strategies are built around swing-trading behavior and medium-term market analysis.

I do not rely on high-frequency scalping techniques or ultra-short-term execution sensitivity. Instead, I operate using structured price movement analysis and adaptive position management.

Because of this architecture, I am generally less sensitive to spread fluctuations, execution delays, and minor latency variations compared to traditional scalping systems.

This allows me to operate more efficiently in stable ECN trading environments.

💻 Transparent Magic Numbers (46 Strategies)

Each internal strategy uses its own dedicated Magic Number for transparent portfolio tracking and independent execution management.

// Fixed Magic Numbers for the 46 Internal Strategies

int MagicNumbers[] =

  {

   48101, 48102, 48103, 48104, 48105,

   48106, 48107, 48108, 48109, 48110,

   48111, 48112, 48113, 48114, 48115,

   48116, 48117, 48118, 48119, 48120,

   48121, 48122, 48123, 48124, 48125,

   48126, 48127, 48128, 48129, 48130,

   48131, 48132, 48133, 48134, 48135,

   48136, 48137, 48138, 48139, 48140,

   48141, 48142, 48143, 48144, 48145,

   48146, 48147, 48148, 48149, 48150,

   48151, 48152, 48153, 48154, 48155,

   48156, 48157, 48158, 48159, 48160,

   48161, 48162, 48163, 48164, 48165,

   48166, 48167, 48168, 48169, 48170,

   48171, 48172, 48173, 48174, 48175,

   48176, 48177, 48178, 48179, 48180,

   48181, 48182, 48183, 48184, 48185,

   48186, 48187, 48188, 48189, 48190,

   48191, 48192, 48193, 48194

  };

📊 Historical Risk Analytics

My analytics are based on Drawdown from Peak Balance, including all realized profits and losses.

This provides a broader representation of historical portfolio behavior compared to floating drawdown metrics alone.

Historical backtests from January 2020 to May 2026 demonstrate observed recovery behavior across multiple market phases.

Recovery Behavior Examples

  • 2020 → Recovery to new equity highs within 13 days

  • 2022 → Recovery period of 15 days

  • 2024 → Stable recovery cycle across 31 days

  • 2026 → Recovery within 11 days

Performance may vary depending on broker conditions, spread, execution quality, VPS latency, and BrokerGMT configuration.

💰 Account Balance and Risk Management

I automatically adjust position sizing based on account equity. Account balance and selected risk level are the primary factors influencing overall portfolio exposure.

Recommended Balances

  • 🏆 Optimal Balance: $20,000+

  • ✅ Standard Balance: $5,000

  • ⚠️ Minimum Balance: $500

At the minimum balance level, I internally operate at an exposure equivalent to approximately Risk = 12, representing my highest aggressive portfolio configuration.

Lower balances naturally increase portfolio exposure and may lead to higher account volatility during unstable market conditions.

🛡️ Swing Account Protection Profiles

I include internal exposure-control configurations designed for swing-style trading environments operating under disciplined capital management conditions.

Swing Account Profile Leverage Recommended Risk
Conservative 1:30 Risk = 1
Balanced 1:30 Risk = 1.5
Aggressive 1:30 Risk = 2

These configurations are designed to support balanced equity behavior and controlled portfolio exposure.

⚠️ High-Risk Configuration

I am capable of operating on leverage up to 1:500 with risk levels up to Risk = 12.

This configuration represents a highly aggressive exposure environment.

Higher leverage and aggressive risk settings may significantly increase portfolio volatility during unstable market conditions.

⚙️ Standard Risk Settings

My unified portfolio risk system manages exposure across all 46 internal strategies.

  • Risk = 1 → Conservative

  • Risk = 1.5 → Balanced

  • Risk = 2 → Aggressive

  • Risk = 3+ → Very Aggressive

Past performance does not guarantee future results.

🕒 BrokerTimeOffset Setting

My execution logic depends on the correct BrokerTimeOffset configuration.

How to Configure BrokerTimeOffset

  1. Check your broker server time.

  2. Compare it with realLondon time.

  3. Set the difference as your BrokerTimeOffset value.

Example:

  • Broker Server Time =Lodon + 2

  • BrokerTimeOffset = 2

Incorrect BrokerTimeOffset settings may affect trading behavior and backtest consistency.

📋 Pre-Live Recommendations

1. Backtesting

Before live trading, it is strongly recommended to perform a detailed backtest using your broker’s ECN conditions and correct BrokerGMT configuration.

Because I combine 46 independent internal strategies, my backtests may take longer than typical single-strategy Expert Advisors.

This is normal and does not indicate any issue with live trading performance. In live trading, I process market conditions in real time and operate normally.

For accurate historical analysis, always use Real Tick Data with 100% quality modeling during backtesting.

Backtests performed with lower-quality modeling or incomplete tick data may produce unrealistic or unreliable results.

Please be patient during backtesting, especially when testing long historical periods or using high-quality tick data.

2. Demo Testing

Please test the demo version within your broker environment before using live capital.

🛡️ Trading Notes

I am designed for EURUSD ECN environments and diversified swing-style portfolio execution.

For best performance, use stable spreads, correct BrokerGMT settings, and risk configurations appropriate for your account size.

Trading performance may vary depending on broker and market conditions.

[Download Demo / Purchase QuantFusion / Follow Signal]



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AI Prop Firms - Intelligent Automation Built for Prop Trading Firms . AI Prop Firms is an advanced fully automated Forex trading system powered by Artificial Intelligence , developed specifically to operate within the strict rules and evaluation models of prop trading firms. The system is designed to trade under controlled risk conditions while maintaining consistency , stability, and compliance with prop firm requirements. AI Prop Firms uses intelligent market analysis logic that continuously
Mean Machine
William Brandon Autry
4.83 (42)
Présentation de Mean Machine GPT Gen 2 – L'Original. Désormais plus intelligent, plus puissant et plus performant que jamais. Nous avons initié tout ce changement fin 2024 avec Mean Machine, l'un des tout premiers systèmes à intégrer une véritable IA de pointe dans le trading de détail en conditions réelles. Mean Machine GPT Gen 2 est la prochaine évolution de cette vision originale. Nous n'avons pas remplacé l'original. Nous l'avons fait évoluer. La plupart des systèmes répondent une fois, agi
Night Hunter Pro MT5
Valeriia Mishchenko
3.92 (37)
EA has a live track record with many months of stable trading with  low drawdown: All Pairs 9 Pairs Night Hunter Pro is the advanced scalping system which utilizes smart entry/exit algorithms with sophisticated filtering methods to identify only the safest entry points during calm periods of the market. This system is focused on a long-term stable growth. It is a professional tool developed by me years ago that is constantly updated, incorporating all the latest innovations in the trading area.
Bonnitta EA MT5
Ugochukwu Mobi
3.38 (21)
Bonnitta EA est basé sur la stratégie Pending Position (PPS) et un algorithme de trading secret très avancé. La stratégie de Bonnitta EA est une combinaison d'un indicateur personnalisé secret, de lignes de tendance, de niveaux de support et de résistance (action sur les prix) et de l'algorithme de trading secret le plus important mentionné ci-dessus. N'ACHETEZ PAS UN EA SANS AUCUN TEST EN ARGENT RÉEL DE PLUS DE 3 MOIS, IL M'A PRIS PLUS DE 100 SEMAINES (PLUS DE 2 ANS) POUR TESTER BONNETTA EA E
Golden Blitz MT5
Lo Thi Mai Loan
4.43 (14)
EA Gold Blitz   – Une solution de trading de l'or sûre et efficace Promotion de lancement Il ne reste que 1 copies au prix actuel !  Prix final : 1999.99 $  Bonjour ! Je suis EA Gold Blitz   , le deuxième EA de la famille Diamond Forex Group, spécialement conçu pour le trading de l'or (XAU/USD). Avec des fonctionnalités exceptionnelles et une approche axée sur la sécurité, je promets de fournir une expérience de trading de l'or durable et efficace pour les traders. Qu'est-ce qui rend EA Gold
Prestige 5
M Ardiansyah
1 (1)
Prestige EA   is a powerful, intelligent trend‑detection trading robot built using advanced mathematical and statistical models. It is designed to identify high‑probability market movements with precision while maintaining strict risk control. The EA uses refined entry filters with advanced correction logic to ensure accurate and reliable trade entries. Every trade is protected by Take Profit and Stop Loss, ensuring disciplined risk management. In addition, the EA includes smart internal algorit
Scalp Master Expert Advisor est un système de trading entièrement automatisé conçu pour les stratégies de scalping dans des conditions de marché en tendance. Il est conçu pour identifier des opportunités de trading à court terme sur des marchés liquides, tout en mettant l’accent sur la qualité des trades et la gestion du risque. L’EA convient aux traders qui préfèrent une approche systématique et basée sur des règles sans intervention manuelle. Il fonctionne mieux sur des instruments avec des sp
Perceptrader AI MT5
Valeriia Mishchenko
4.67 (6)
80 consecutive months in profit with low drawdown: Live performance MT4 version can be found here Perceptrader AI is a cutting-edge grid trading system that leverages the power of Artificial Intelligence, utilizing Deep Learning algorithms and Artificial Neural Networks (ANN) to analyze large amounts of market data at high speed and detect high-potential trading opportunities to exploit. Supported currency pairs: NZDUSD, USDCAD, AUDNZD, AUDCAD, NZDCAD, GBPCHF Timeframe: M5 Features: Trend , Mome
Famous EA
Ugochukwu Mobi
Famous EA – Performance vérifiée en temps réel Famous EA est un Expert Advisor haute performance conçu pour les traders sérieux recherchant des résultats constants et une exécution intelligente. Il combine l’action du prix, la dynamique des lignes de tendance et un algorithme de filtrage propriétaire pour identifier des entrées et sorties à forte probabilité. Aperçu de la stratégie Famous EA utilise : Une logique d’indicateurs personnalisés sans repaint Une détection dynamique des lignes de ten
AI Nodiurnal EA MT5
Ugochukwu Mobi
5 (2)
AI Nodiurnal EA est un robot Forex avancé qui exploite la technologie de pointe du machine learning pour optimiser les stratégies de trading et améliorer les performances sur le dynamique marché des changes. Le terme "Nodiurnal" reflète sa capacité à s'adapter et à fonctionner non seulement pendant les heures de trading diurnes habituelles, mais aussi pendant des périodes non standards, offrant ainsi une approche continue et adaptative du trading sur le forex. Paramètres : Paramètres par défaut
ICONIC KYBERNETIC AI+ — OMNI-NEXUS CYBERNETIC CORE Un graphique. Deux marchés. Quatre technologies centrales. Cinq couches d'apprentissage adaptatif. La plupart des Expert Advisors négocient un seul symbole et se qualifient eux-mêmes d'« intelligents ». Quelques-uns tentent de gérer deux symboles à la fois et se présentent comme un « système de portefeuille ». ICONIC KYBERNETIC AI+ exécute une véritable architecture cognitive à quatre technologies qui traite le Bitcoin et l'Or comme un système u
Vega Bot
Lo Thi Mai Loan
5 (7)
LIVE RESULT:  LIVE SIGNAL (XAU)   |   NAS100, NASDAQ, USTECH   IMPORTANT – AVIS : Un nombre limité de copies est disponible au prix actuel. Le prix augmentera prochainement à 4999,99 $ . Télécharger les Setfiles Guide détaillé VEGA BOT – L’Expert Advisor Multi-Stratégies Trend Following Ultime Bienvenue sur Vega BOT , un Expert Advisor puissant qui intègre plusieurs méthodologies professionnelles de suivi de tendance au sein d’un système flexible et hautement personnalisable. Que vous soyez déb
Minting
Zenzo Phathisani Mtungwa
***ATTACHEZ-LE au M1 ou M5 pour de meilleurs résultats et des entrées et sorties rapides*** Minting – The Gold Scalper (Lite Edition) est un Expert Advisor professionnel, léger et optimisé, développé par Ramulo Software Ltd. , spécialement conçu pour exploiter la volatilité et le fort potentiel de profit de l’Or (XAUUSD). Il combine une structure de marché intelligente basée sur les EMA, la détection de tendance par l’ATR, un trailing en USD par paliers et un contrôle strict du drawdown dans un
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