Tol Langit ETF
50 USD
Versione demo scaricata:
2
Pubblicato:
22 gennaio 2026
Versione attuale:
30.2
Non hai trovato un robot adatto?
Ordina il tuo
su Freelance
Vai alla sezione Freelance
Ordina il tuo
su Freelance
Come acquistare un Robot di Trading o un indicatore
Esegui il tuo EA
hosting virtuale
hosting virtuale
Prova un indicatore/robot di trading prima di acquistarlo
Vuoi guadagnare nel Market?
Come presentare un prodotto per venderlo con successo
Ti stai perdendo delle opportunità di trading:
- App di trading gratuite
- Oltre 8.000 segnali per il copy trading
- Notizie economiche per esplorare i mercati finanziari
Registrazione
Accedi
Accetti la politica del sito e le condizioni d’uso
Se non hai un account, registrati

This .set configuration is optimized for H1 trading, combining trend filtering, volatility analysis, statistical deviation detection, and strict risk management to capture short-term market opportunities while controlling downside risk.
1. Session Control
The EA operates 24 hours per day (server time), allowing trading across all major sessions: Asia, London, and New York. This is suitable for H1 strategies that rely on continuous intraday liquidity.
2. Quantitative Core
The strategy uses a multi-indicator quantitative filter:
EMA(100) – Defines the overall trend direction.
ADX(14) ≥ 20 – Ensures trades occur only when sufficient trend strength exists.
Bollinger Bands (20) – Detect volatility expansion and price extremes.
Z-Score ≥ ±1.0 – Identifies statistically significant deviations from the mean.
RSI(14) – Confirms short-term momentum and prevents entries during weak signals.
Together, these filters reduce market noise common on the H1 timeframe and improve signal quality.
3. Risk & Execution
Risk management is ATR-based and equity-controlled:
Risk per trade: 5% of account equity.
Stop Loss: 3.5 × ATR (volatility-adjusted).
Take Profit: 10 × ATR (~1:2.8 risk-reward).
Spread Filter: Trades only if spread ≤ 50 points.
Daily Profit Limit: +30% equity stops trading for the day.
Daily Loss Limit: −20% equity stops trading to protect capital.
Max Trades: 4 trades per day to prevent overtrading.
Magic Number: 888111 for trade identification.
Strategy Overview
This configuration forms a hybrid intraday trading system that combines:
Trend detection (EMA + ADX)
Volatility analysis (Bollinger Bands)
Statistical deviation signals (Z-Score)
Momentum confirmation (RSI)
with ATR-based dynamic risk management, making it suitable for high-frequency H1 execution environments.
## Technical Result Write-Up
The strategy demonstrates aggressive growth characteristics over a ~14-month period (Jan 2025 – March 2026).
Profitability: The system turned a $1,000 initial deposit into a $33,234.64 net profit. A Profit Factor of 2.50 is very strong, indicating that for every dollar lost, $2.50 was earned.
Trade Dynamics:
Win Rate: 45.21% (Typical for trend-following systems).
Risk/Reward Ratio: Excellent. The average win ($1,679) is roughly 3x larger than the average loss ($553).
Recovery Factor: 2.05 (Shows a solid ability to bounce back from drawdowns).
Drawdown: The Maximal Equity Drawdown reached $16,175.11 (33.31%). While the percentage is manageable for a high-growth bot, the monetary value of the drawdown exceeds the starting capital significantly, highlighting the compounding risk.
Trade Bias: There is a clear Long (Buy) bias. Buy trades had a 53.85% success rate, whereas Short (Sell) trades only succeeded 23.81% of the time.
## Short Feedback
The Good: This is a high-alpha "runner" strategy. It doesn't need to be right most of the time to make money because it lets winners run and cuts losses early. The 100% History Quality suggests the data is reliable and the results aren't just a product of "backtest gaps."
The Bad: The Short Trade performance is weak. The strategy struggled significantly during bearish gold moves. Additionally, the 10% Risk per trade setting is quite high; a string of 4-5 losses (which is statistically likely given the 45% win rate) could lead to a massive equity swing.
The Verdict: It’s a powerful trend-follower that thrives in the current high-volatility gold market. However, it’s currently "over-leveraged" for a standard conservative portfolio.