Nagi Grid

3-in-1 multi-currency EA for MT5: H4 trend grid + range-fade + breakout-continuation,

28 pairs, portfolio-level loss-rate circuit breaker. Backtested 2021-2026: net +$18,250,

PF 1.12, Sharpe 1.07, max DD 9.2%.


◆ NAGI GRID is a 3-strategy-in-1 portfolio EA for MetaTrader 5, combining:


1. TREND GRID — H4/D1/W1-aligned trend entries with a capped grid add (max 1 extra leg)

   and favorable-direction pyramiding, active only in seasonally-favorable months

   (June/August/December).

2. RANGE FADE — H4 support/resistance touch-and-reject entries, with a proven filter

   stack (bad-symbol exclusion, Thursday ATR-spike exclusion, November seasonal

   exclusion, rollover-hour exclusion) plus a post-single-loss lot bonus and a

   PORTFOLIO-WIDE loss-rate circuit breaker that pauses new range entries when the

   trailing 48h loss rate across all symbols exceeds 75%.

3. H4 BREAKOUT — continuation entries on confirmed H4 breakouts, with separate

   buy/sell seasonal and weekday timing filters.


All three components share one overall position cap (max 12 concurrent symbols) so the

system never over-commits margin across the three sub-strategies at once. 28 base

currency pairs are covered (with different symbol-exclusion lists per component, tuned

independently on historical data).


IMPORTANT — RISK DISCLOSURE

This EA runs three concurrent trading styles and can hold more simultaneous positions

than a single-strategy EA. Each entry uses a computed stop-loss and take-profit

(validated against your broker's minimum stop-distance before every order), and a

portfolio-level circuit breaker pauses new RANGE entries during elevated-loss periods —

but this circuit breaker does not cover the trend/breakout components, and cannot

retroactively close positions already open when a sudden correlated move occurs. Please

size your account for multi-position exposure, not single-trade risk.


VERIFIED BACKTEST RESULTS (2021.01-2026.08, 5.7 years, real historical data)

- Net Profit: $18,249.88 (on $30,000 starting balance, 0.10 base lot + anti-martingale

  sizing on fresh entries)

- Profit Factor: 1.124

- Sharpe Ratio: 1.073

- Max Drawdown: 9.21% (balance) / 10.05% (equity)

- Recovery Factor: 4.10

- Win Rate: 56.00% (11,700 fills across 5,850 round-trip positions)

Tested at $30,000 starting balance, 1:25 leverage. Past performance does not guarantee

future results. This is simulated historical performance from MT5 Strategy Tester, not

live/real trading results.


RISK MANAGEMENT

- Grid add capped at 1 extra leg (not an unlimited martingale grid).

- Win/loss-streak-based position sizing on fresh entries, capped between 0.4x and 2.2x.

- New entries (all 3 components) are paused when account margin level drops below 300%.

- Range-side portfolio loss-rate circuit breaker (see above).

- New entries are paused during known broker rollover/thin-liquidity hours (21-22 UTC).

- Every order is checked against your broker's minimum stop-distance, free margin, and

  per-symbol volume limit before being sent — orders that would fail are skipped

  silently rather than erroring.


REQUIREMENTS

- MetaTrader 5 (not compatible with MT4).

- No DLL calls, no external network requests.

- Parameters (including rollover-hour pause window and seasonal month filters) were

  tuned and validated using GaitameFinest (Japan) real historical data. If running on a

  different broker, we recommend re-validating time-based filters against that broker's

  own server clock.

- Demo-test before live use is recommended, as with any EA — especially one running

  three concurrent strategies.


WHAT'S CONFIGURABLE

Symbol lists (separate for trend/range/breakout), base lot size, magic number, grid add

count/spacing, per-component concurrency caps, seasonal active-months per component,

rollover-hour pause window, news-window filter on/off, streak-based sizing on/off,

range-side loss-bump and portfolio-circuit-breaker thresholds.

```


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