RIBS Pivo EA

⚠️ IMPORTANT – CURRENT RECOMMENDED NAS100 SETTINGS

These settings are optimized for the current NAS100 volatility environment and are intended as a recommended starting point. Market conditions evolve over time, and users are encouraged to adapt and optimize these parameters to suit their preferred assets, broker specifications, and risk preferences.

Recommended Configuration

Timeframe

5M

Strategy Parameters

• startinghour = (youre broker-propfirm stock exchange opening time) (9:30 NY)

• startingminute = 30

• endinghour = 22

• V: 0.5

• D: 0.5

• S: 0.4

• RR: 0.5

• Breakeven Activation: 5,000 points

Expected Performance Characteristics

The following metrics represent the historical characteristics observed during extensive testing and are intended to provide insight into the strategy's overall profile. They do not guarantee future performance.

• Historically observed win rate: 75%+

• Historically maintained a maximum drawdown of approximately 7% (1% risk per trade)

• Historical Profit Factor: Approximately 1.50 range

• Positive expectancy with a long-term upward equity drift

• Adaptive behavior across changing volatility regimes

• Focused on consistency and risk efficiency rather than maximizing trade frequency

• Optimized to balance growth potential with capital preservation

Additional Notes

SPX500 settings will be released soon.

Feel free to customize these settings to better suit different assets, execution environments, and changing market conditions.

PIVO EA

Precision Execution for High-Quality Market Opportunities

PIVO EA is a fully automated Expert Advisor designed to identify and execute selective, high-probability opportunities within major index markets.

Built around a proprietary decision framework, the strategy focuses on precision rather than frequency, participating only when market conditions align with its internal qualification process.

Rather than reacting to every market movement, PIVO EA continuously evaluates the current trading environment, adapting to changing volatility and market behavior to prioritize quality over quantity.

The system is specifically designed for traders seeking a disciplined, lower-frequency approach that emphasizes consistency, structure, and controlled execution.

Average trade frequency: Approximately 10 trades per month.

Designed as a selective and controlled system focused on historically robust performance and disciplined participation.

How the Strategy Works

1. Assess Market Conditions

PIVO EA continuously evaluates the broader market environment to determine whether conditions are favorable for participation.

The system is designed to recognize differences between varying market regimes and selectively engage when the probability of success aligns with its internal framework.

2. Qualify the Opportunity

Rather than anticipating movement or reacting impulsively, the strategy requires multiple conditions to align before a setup becomes eligible for execution.

This filtering process is intended to reduce unnecessary exposure and improve overall trade quality.

3. Confirm Execution Conditions

Before entering the market, PIVO EA applies additional confirmation criteria designed to distinguish higher-quality opportunities from routine market noise.

Only when these conditions are satisfied will the system proceed.

4. Execute and Manage the Position

Once all requirements have been met, the EA automatically executes and manages the trade according to predefined risk and trade management parameters.

This systematic process removes emotional decision-making and promotes consistency across changing market environments.

Key Features

• Fully automated execution

• Proprietary PIVO methodology

• Precision-focused opportunity selection

• Regime-aware market filtering

• Adaptive to changing volatility conditions

• Optimized for NAS100 and SPX500 indices

• User-customizable risk management

• Optional breakeven functionality

• Low-frequency, controlled execution

• Multi-layer confirmation framework

• Designed to prioritize quality over trade quantity

• Historically optimized around disciplined execution

• No martingale strategies

• No grid systems

• No cost averaging techniques

Strategy Logic Overview

Financial markets continuously transition through different behavioral environments. Conditions that favor participation during one phase may be less suitable during another.

PIVO EA is designed to systematically evaluate these changing environments and selectively participate only when its proprietary framework identifies qualified opportunities.

The strategy follows a disciplined sequence:

Market Assessment → Opportunity Qualification → Confirmation → Automated Trade Execution

By emphasizing selectivity and confirmation rather than constant market exposure, PIVO EA seeks to focus on higher-quality opportunities while minimizing unnecessary participation.

The methodology prioritizes patience, discipline, and consistency over excessive trading activity.

Optimized Markets

PIVO EA has been primarily optimized and tailored for:

• NAS100

• SPX500

These markets exhibit the liquidity, participation, and structural characteristics that align well with the PIVO methodology.

Additional market profiles may be introduced in future updates.

Strategy Philosophy

Not every opportunity deserves participation.

PIVO EA is built on the principle that disciplined execution and selective engagement can outperform constant activity.

By waiting for qualified conditions to emerge, the strategy seeks to preserve consistency and maintain focus on the opportunities that matter most.

Patience → Qualification → Confirmation → Execution

Risk Disclosure

Trading involves substantial risk and may not be suitable for all investors. Past performance does not guarantee future results. Market conditions change over time, and users are strongly encouraged to test and optimize settings before trading on live accounts.

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