Master of Liquidity by EV
- Experts
- Enrique Valeros Muriana
- Versione: 1.2
- Attivazioni: 15
Master of Liquidity is a multi-strategy portfolio Expert Advisor for MetaTrader 5 developed by EV Trading Labs. The goal of this EA is to run several Smart Money / ICT-inspired entry models inside one single execution and risk-control framework, so you can diversify logic without installing multiple EAs on the same symbol.
The EA includes 6 independent strategy families that can be enabled or disabled individually. Each strategy has its own timeframe, risk percentage, stop-loss mode, take-profit RR, break-even rules and trailing rules. The strategies included are: Liquidity Sweep (swing reversals after stop hunts), Supply/Demand Zones (fresh zone retests with impulse validation), Order Block (intraday OB identification and retest reaction), Fair Value Gap (FVG detection and fill entries), Asia Reversal (Asia range sweep reversal during a defined trade window) and Breaker Block (failed order block turning into opposite support/resistance retest).
Master of Liquidity offers two execution modes. PROP mode is designed for accounts where you want to avoid hedging behavior and keep direction control strict. OWN_HEDGE mode is intended for own-capital accounts that support hedging and allows a controlled “hedge reducer” position only under defined conditions, with a dedicated hedge risk budget and optional restrictions (for example, hedging only against swing positions and/or only triggered by intraday families). The EA automatically checks whether the account type supports hedging.
Risk management is portfolio-aware. You can set a maximum daily drawdown percentage (optional), a maximum net risk budget per direction (optional), and optionally scale new entries to the remaining risk budget. You can also limit to one position per strategy and apply a cooldown in bars after entries. These guardrails are designed to keep total exposure controlled when multiple strategies are active.
A built-in news filter is available using the MetaTrader 5 economic calendar. You can block trading for a configurable number of minutes before and after events, and optionally filter by USD-only and/or high-impact-only events.
Version 1.02 focuses on “Market Safe” execution improvements, especially around stop modifications. It introduces strict pre-checks and larger safety buffers to reduce broker-side modification failures such as “close to market” errors. Instead of forcing unsafe stop levels, the EA can skip modifications when the requested stop is too close to current price, and it applies a modification cooldown and minimum-change threshold. Break-even and trailing updates are only attempted when profit has reached a meaningful level in R-multiples, which helps reduce unnecessary modify requests during low-profit noise.
An optional on-chart dashboard provides a clear live overview: mode status, hedge-account status, spread check, Asia range state, risk blocks (daily DD and news), net direction, and per-strategy status including timeframe and live signal direction.
This EA is a systematic trading tool and requires proper configuration and testing. Results depend on symbol characteristics, broker execution, spread, slippage, and chosen inputs. Always forward test on a demo account before using real capital.
