Portfolio Correlation Desk

  • Utilitaires
  • Seckin Erkut
    Seckin Erkut
    Algo Trading Systems Developer. I develop strategies and portfolios not by hypes but from solid academic literature.

    I put my money where my mouth is, be sure to check the performance of my EAs through my signals.
  • Version: 1.0

Read-only analytics for accounts running several EAs. Groups your closed trades by magic number and measures how much of their combined risk actually cancels out.

Free measurement edition. The monitoring and alerting edition is Portfolio Command Desk: https://www.mql5.com/en/market/product/188884

The problem

You run five Expert Advisors. Each backtest looked fine on its own. But the account does not trade five systems, it trades one portfolio, and no report in MetaTrader tells you how those systems behave together.

So the questions that decide your position size stay unanswered. Do these systems lose money in the same periods? What is the worst drawdown the account as a whole has already survived? And was that drawdown lucky or typical?

What this does

It reads your closed trade history, groups it by magic number, and answers those three questions from your own trades, on the period you choose - daily, weekly or monthly.

Drawdown compression. Add up the maximum drawdown of every system on its own. Then measure the maximum drawdown of the whole account. The second number is always smaller. The ratio between them is what diversification actually bought you, in your own currency.

Correlation. The full pairwise matrix on daily, weekly or monthly profit and loss, drawn on the chart as a heat map. Pale means two systems ignore each other. Red means they win and lose together. Blue means they are opposites. A portfolio that looks mostly pale is genuinely diversified. One that looks red is a single strategy you are paying for several times.

Monte Carlo. History gave you one ordering of periods. The market was free to deliver the same periods in a different order, and the maximum drawdown changes when it does. The panel reshuffles your period results a few thousand times and reports the drawdown at the 50th, 90th and 95th percentile, plus where your actual history sits inside that cloud. Most accounts land in the friendly half.

What makes it different

Measured statistics, not opinion. There is no AI commentary, no API key, no URL to whitelist, no network access at all. Every figure on the panel is computed from deals already in your terminal.

Two details most tools get wrong are handled here. Entry commission is counted, not just exit commission, so cost is not understated. And trades are grouped by position, so a partial close is one round turn rather than several.

What you get out of it

A position-size decision you can defend. If the compression ratio is 3x, your combined risk is a third of the sum of the parts and you can size accordingly. If it is close to 1x, you are carrying concentrated risk that the individual backtests never showed you.

And an early warning. When a new EA joins the roster and the matrix turns red, you have learned something before the account does.

The panels

ROSTER — one row per magic number, sorted by net result: trades, win rate, profit factor, payoff, expectancy in R, longest winning and losing streaks, maximum drawdown in money and in R, and net.

PORTFOLIO — three lines. Compression: the standalone sum, the combined drawdown and the ratio. Monte Carlo: the three percentiles and where your path sits. Correlation: average absolute rho over daily, weekly or monthly returns (rho = +1 ==> strategies take the same trades, rho = -1 ==> strategies take exactly opposite trades), the share of pairs below 0.30, and the most correlated pair.

CORRELATION — the heat map, with a legend, the period used (daily, weekly or monthly) and how many periods it covers.

The panels refresh on a timer and only redraw when a new trade closes, so they stay current without loading the terminal.

Inputs

Data

  • Grain — correlate on daily, weekly or monthly profit and loss. Monthly is the default and the safest; correlations on sparse daily buckets are pulled toward zero by the empty cells. Weekly suits accounts that trade often.
  • Min trades — magic numbers with fewer closed trades are left out of the report and out of the combined portfolio, so the comparison stays like for like.
  • Include magic 0 — off by default. On most terminals that bucket holds manual trades and any EA left on its default magic.
  • Name map — label your systems: 111=Trend A;222=Mean Rev B .
  • Refresh seconds — how often the panel checks for new closed trades.

Monte Carlo

  • Runs — number of reshuffles. 2000 is plenty.
  • Seed — 0 draws a random seed. Any other value makes the percentiles repeatable, which matters when the figure goes into a report.
  • Reference balance — used only to express the 95th percentile drawdown as a percentage.

Panels

  • Show roster / summary / heat map — turn each block on or off.
  • Mask magics — label systems S01, S02 and so on instead of printing real magic numbers. Useful for screenshots.
  • Panel X / Y — offset from the top left corner.
  • Table max rows — how many roster rows to show.
  • Heat map max px / max systems — grid size, and the point above which the heat map is skipped because the grid would need more rectangles than the chart can redraw comfortably.

Demo

  • Demo when empty — while the account has no closed trades, the panels show a deterministic demo dataset, stamped [DEMO DATA] in every title, so you can see the layout before you have history. The first real closed trade replaces it permanently.

Export

  • Export CSV — write the roster and the correlation matrix to MQL5\Files. Disabled automatically while the demo dataset is on display.

What it does not do

It never places, modifies or closes an order. It does not produce signals or predict anything. It does not connect to any network or external service.

Drawdowns are measured on closed trades, so they do not include the floating excursion of open positions, which is deeper. Read them as realised drawdown.

It does not watch or alert. It reports what is in your history when you look at it. Monitoring, thresholds and notifications live in Portfolio Command Desk: https://www.mql5.com/en/market/product/188884

MetaTrader 5. Attach to any chart; the symbol does not affect the result.

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MT5 to Telegram Signal Provider est un utilitaire facile à utiliser et entièrement personnalisable qui permet l'envoi de signaux spécifiés vers un chat, un canal ou un groupe Telegram, transformant ainsi votre compte en fournisseur de signaux. Contrairement à la plupart des produits concurrents, il n'utilise pas d'importations DLL. [ Démonstration ] [ Manuel ] [ Version MT4 ] [ Version Discord ] [ Canal Telegram ]  New: [ Telegram To MT5 ] Configuration Un guide utilisateur étape par étape est
Footprint Chart Pro — Professional OrderFlow EA for MetaTrader 5 Version 6.34 | Professional tool for real traders | Institutional-Grade Visualization DEMO USERS - PLEASE SELECT EVERY TICK / REAL TICK WHEN TESTING AND YOU HAVE DOWNLOADED HISTORICAL DATA. IF YOU SEE A WAITING SCREEN AND IT IS NOT DOWNLOADING, IT MEANS YOU HAVE LOW HISTORICAL DATA. TRY 1 MIN AND 5 MIN FIRST ON 1 DAY DATA. ONE DAY DATA SHOULD BE THE NEWEST AND MOST CURRENT DATE. PLEASE WAIT UNTIL THE MARKET HAS ROLLED OVER PERIOD.
Timeless Charts
Samuel Manoel De Souza
5 (7)
Timeless Charts est un utilitaire de trading tout-en-un destiné aux traders professionnels. Il combine des types de graphiques personnalisés tels que les graphiques en secondes et Renko avec une analyse avancée du flux d’ordre s utilisant Footprints , Clusters , Profils de Volume , études VWAP et outils d’analyse ancrés pour une compréhension plus approfondie du marché. Le trading et la gestion des positions sont effectués directement depuis le graphique via un panneau intégré de gestion des ord
HINN Lazy Trader
ALGOFLOW OÜ
5 (1)
LIMITED SUMMER SALE -40% ! ONLY $470 insead of $790!  Maximum real discount! ONLY UNTIL 08/22 The core idea: using the user interface, you configure the parameters the chart must meet before entering a position (or positions), choose which entry models to use, and set the rules for when trading and planning should end. Lazy Trader  handles the rest: it  takes over all the routine chart watching and execution! full description  :: 3 key videos [1] ->  [2]   ->  [3] What can it do? - Understand
Télécharger la démo fonctionnelle Copy Cat More (Chat Copieur) — Copieur de Trades (Trade Copier) MT5 est un copieur de trades local et un cadre complet de gestion du risque et d'exécution, conçu pour les défis du trading d'aujourd'hui. Des challenges de prop firm à la gestion de portefeuille personnel, il s'adapte à chaque situation grâce à une combinaison d'exécution robuste, de protection du capital, de configuration flexible et de gestion avancée des trades. Le copieur fonctionne dans les
YuClusters
Yury Kulikov
4.93 (43)
Attention: You can view the program operation in the free version  YuClusters DEMO .  YuClusters is a professional market analysis system. The trader has unique opportunities to analyze the flow of orders, trade volumes, price movements using various charts, profiles, indicators, and graphical objects. YuClusters operates on data based on Time&Sales or ticks information, depending on what is available in the quotes of a financial instrument. YuClusters allows you to build graphs by combining da
Panneau de trading pour MetaTrader 5 — contrôle professionnel du trading en un clic depuis le graphique et le clavier Un panneau de trading avancé conçu pour les traders actifs, afin d’ouvrir, gérer et clôturer des positions bien plus rapidement qu’avec l’interface standard de MetaTrader. Cette solution s’adresse à ceux qui veulent contrôler positions, ordres en attente, profit global et exécution depuis un seul espace de travail professionnel. Il ne s’agit pas d’un simple utilitaire. C’est un
Telegram To MT5 Ultra
Mirel Daniel Gheonu
5 (2)
Telegram To MT5 — Copieur de signaux Transformez les appels de trading de vos canaux Telegram en véritables ordres MT5 — automatiquement, sur autant de comptes que vous le souhaitez, avec le risque et les règles entièrement sous votre contrôle. Telegram To MT5 relie les canaux VIP / de signaux que vous suivez déjà sur Telegram à votre terminal MetaTrader 5. Une application de bureau compagnon gratuite lit les messages (même des canaux qui bloquent les bots), et cet Expert Advisor les exécute sur
EasyInsight AIO MT5
Alain Verleyen
4.92 (12)
EASY Insight AIO – La solution tout-en-un pour un trading intelligent et sans effort Présentation Imaginez pouvoir analyser l’ensemble du marché — Forex, Or, Crypto, Indices et même Actions — en quelques secondes, sans aucune analyse manuelle de graphiques, sans installation complexe ni configuration d’indicateurs. EASY Insight AIO est votre outil d’exportation ultime, prêt à l’emploi, pour un trading alimenté par l’IA. Il fournit une vue d’ensemble du marché dans un fichier CSV propre — prêt
Trade Assistant 38 in 1
Makarii Gubaydullin
4.91 (23)
Outil multifonctionnel : Calculateur de Lot, Ordres Grid, Ratio R/R, Gestionnaire de Trades, Zones d'Offre et de Demande, Price Action et bien plus Version Démo   |   Manuel d'Utilisation L'Assistant de Trading   ne fonctionne pas dans le testeur de stratégies : vous pouvez télécharger la   Version Démo ICI  pour tester l' utilitaire . Contactez-moi   pour toute question  / idée d'amélioration / en cas de bug détecté Si vous avez besoin d'une version MT4, elle est disponible ici Simplifiez, acc
The product will copy all telegram signal to MT5 ( which you are member) , also it can work as remote copier.  Easy to set up, copy order instant, can work with almost signal formats, image signal,  s upport to translate other language to English Work with all type of channel or group, even channel have "Restrict Saving Content", work with  multi channel, multi MT5 Work as remote copier: with signal have ticket number, it will copy exactly via ticket number. Support to backtest signal. How to s
KT Equity Protector MT5
KEENBASE SOFTWARE SOLUTIONS
3.6 (5)
Le seul EA que chaque trader MetaTrader devrait faire tourner, mais que beaucoup n’utilisent toujours pas. La plupart des comptes ne sautent pas parce que la stratégie était mauvaise. Ils sautent parce qu’à un mauvais moment, un trader a laissé courir une perte, a renforcé une position, a gardé des trades ouverts pendant le week-end, a rendu au marché une semaine gagnante ou a oublié la limite journalière d’une prop firm à cause d’un seul mauvais clic. KT Equity Protector est le gardien automati
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Three institutional lenses. One deterministic engine. Most tools show you one dimension of the market. This indicator fuses the three that professionals cross-check constantly — and makes them talk to each other on a single chart: WHERE — Session Volume Profile. Per-session horizontal profiles with POC, VAH/VAL and a shaded Value Area, split into buying vs. selling pressure. You see the levels the market has actually accepted — and the thin air pockets it hasn't. WHEN — CVD Pressure Divergence.
FREE
Hard limits for prop firm and challenge accounts Prop firm rules are not suggestions. Breach the daily loss limit by one dollar and the account is gone, whatever the equity curve looked like an hour earlier. The problem is that the rule lives on the firm's server while your positions live in your terminal, and nothing in MetaTrader 5 connects the two. Prop Firm Circuit Breaker sits on one chart and watches the whole account. The name is literal: an exchange halts trading when a threshold is bre
FREE
Commencez par la perte, pas par le gain. Décidez d'abord quelle profondeur de drawdown vous êtes prêt à traverser — 5-10 %, 20-30 % ou davantage — et laissez ensuite le système chercher du rendement à l'intérieur de cette limite. C'est dans cet ordre que travaille Veteran Army FX. Et comme personne ne sait quelle paire produira le prochain vrai mouvement, il surveille onze paires à la fois en unité de temps H4, dans les deux sens, au lieu de miser le compte sur un seul graphique. En bref Marché
Volume Trio Multi is a three-layer market-structure tool for MetaTrader 5: session Volume Profile (POC, VAH/VAL, Value Area), a CVD volume-pressure histogram with a strict Regular divergence engine, and anchored VWAP with standard-deviation bands — extended with a watchlist scanner that runs all three across the symbols in your Market Watch. This is the Pro edition of my free indicator, Volume Trio. The base engine is identical, so this page describes only what Pro adds. For the three layers the
Start with the loss, not the profit. First decide how deep a drawdown you are willing to sit through — and then let the system go after returns inside that limit. That is the order Veteran Army Gold works in. And because gold does not move the way currencies move, it works the market one price level at a time, buying and selling, instead of betting the account on a single idea. The same discipline behind Veteran Army FX, applied to a single market that behaves like nothing else. At a glance Mark
Envelope monitoring for multi-EA accounts. Each magic number is watched against its own backtest; you get a traffic light on the chart and an alert only when a state changes. Includes the full free measurement layer. What it is You run several Expert Advisors on one account. This utility reads their closed history, groups it by magic number, and watches every system against its own backtest: a traffic light on the chart, and an alert only when a state actually changes. Underneath sits a full mea
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