Quantum Aurum Trend
⚡ One-Liner
+107% net profit | 1.93 profit factor | only 11% balance drawdown – a gold trend-following EA with built-in smart recovery.
🔥 Limited Launch Pricing — Price Increases Every 10 Copies
| Copies Sold | Price | Status |
|---|---|---|
| 1 – 10 | $199 | ← Current Price |
| 11 – 20 | $249 | |
| 21 – 30 | $299 | |
| 31 – 40 | $349 | |
| 41 – 50 | $399 | |
| 51+ | $449+ | Final price TBD |
Every 10 copies sold, price goes up by $50. No exceptions, no going back. Early buyers are rewarded — the EA is the same, only the price changes. If you're reading this and the price is still $199, you're getting the best deal this EA will ever have.
📝 Full Description (English)
Quantum Aurum Trend is a fully automated Expert Advisor for XAUUSD (Gold) on MetaTrader 5. It combines a classic triple moving average crossover system with an intelligent adaptive Martingale recovery engine, designed to capture gold's strong trending moves while keeping drawdown under control.🔑 Strategy Logic
The EA uses a 5 / 20 / 60 period moving average framework:
- Entry: When the fast MA (5) crosses above both the mid (20) and slow (60) MAs, the EA opens a Buy. The logic is reversed for Sell signals.
- Exit: Positions are closed when the fast MA crosses back below the mid MA, locking in trend profits before reversals deepen.
- Direction Filter: Choose Buy Only, Sell Only, or Both — adapt to your market bias.
🛡️ Adaptive Martingale Recovery
Unlike aggressive Martingale systems that blow accounts, Quantum Aurum Trend uses a controlled, tiered recovery:
- Starts with base lot size (default 0.01)
- After 3 consecutive losses, lot size increases by a configurable multiplier
- Every 3 additional losses, the multiplier compounds one more level
- Once cumulative cycle P&L turns positive, lots instantly reset to base size
- Hard risk caps: maximum lot size and maximum Martin level protect your account
This means the EA only increases risk when it needs to recover, and immediately de-risks once recovered.
📈 Backtest Highlights (XAUUSD, 2025.01 – 2026.02)
| Metric | Value |
|---|---|
| Initial Deposit | $10,000 |
| Total Net Profit | $10,793 (+107.9%) |
| Profit Factor | 1.93 |
| Recovery Factor | 2.91 |
| Sharpe Ratio | 4.51 |
| Balance Drawdown | 11.08% |
| Total Trades | 441 |
| Avg Win / Avg Loss | $128.42 / $43.27 (3:1 Reward-to-Risk) |
| Max Consecutive Losses | 13 (recovered) |
| Largest Single Win | $4,707.82 |
💡 Why This EA Stands Out
- High Return, Low Balance Drawdown — Over 100% return with only ~11% balance drawdown. The equity curve climbs steadily with no catastrophic drops.
- 3:1 Reward-to-Risk Ratio — Average winning trade is nearly 3x the average loser. Even with a 39% win rate, the math works decisively in your favor.
- Smart Recovery, Not Blind Martingale — The tiered recovery only activates after 3 consecutive losses and auto-resets upon profit recovery. Built-in hard limits (max lot size, max Martin level) prevent runaway risk.
- Trend-Following Core — Triple MA crossover is one of the most battle-tested strategies in gold trading. The EA rides strong trends and exits early on reversals.
- Flexible Configuration — Trade direction (Buy/Sell/Both), MA periods, MA type (SMA/EMA), Martin multiplier, step size, and risk caps are all fully configurable.
⚙️ Recommended Settings
| Parameter | Recommended |
|---|---|
| Timeframe | H1 or H4 |
| Symbol | XAUUSD |
| Direction | (gold's long-term macro trend is bullish) |
| Martin Multiplier | 2.0 |
| Martin Step | 3 |
| Max Martin Level | 5 |
| Broker | ECN/Raw spread recommended |
💰 Position Sizing Guide risk profile:
| Risk Profile | Account Size | Base Lot | Expected Annual Return | Blow-up Risk |
|---|---|---|---|---|
| 🔴 Aggressive | $3,000 | 0.01 | ~1,000% (10x) | ⚠️ Possible — high risk, high reward |
| 🟡 Moderate | $6,000 | 0.01 | ~200% (2x) | Very low |
| 🟢 Conservative | $10,000 | 0.01 | ~100% (1x) | Near zero |
How to read this:
- $3,000 / 0.01 lot (Minimum) — The math is simple: the same strategy that turned $10,000 into $20,793 can potentially turn $1,000 into $10,000+. That's a 10x return. However, a worst-case scenario could wipe out your account. High risk, high reward.
- $6,000 / 0.01 lot (Balanced) — You have enough cushion to survive the max drawdown comfortably (~74% of your account remains intact even in the worst case). Expected return ~200% annually. This is the sweet spot for traders who want strong returns without losing sleep.
- $10,000 / 0.01 lot (Safe) — This is the backtest configuration. Blow-up probability approaches zero. You still double your money in a year. This is what we recommend for most traders.
Scaling rule: For every additional 0.01 lot, add $5,000 (conservative) or $1,000 (aggressive) to your account.
⚠️ Risk Disclosure
Trading involves significant risk. Past backtested performance does not guarantee future results. Always test on a demo account first. Use proper position sizing relative to your account balance.The aggressive $1,000 / 0.01 setup can produce extraordinary returns but carries real risk of margin call — only use funds you can afford to lose.
