FLCproMAX
- Experts
- Versione: 4.10
- Aggiornato: 28 maggio 2026
- Attivazioni: 10
FLCproMAX v4.00 – A Systematic Trading Algorithm for Multiple Asset Classes
FLCproMAX v4.00 is a professional, institutional-grade Expert Advisor developed exclusively for MetaTrader 5. Operating on a strict rule-based mathematical model, it combines two proprietary indicators: FLC (Fast Line Crossover) for momentum validation and SAT (Slow Average Trend) for directional filtering. The EA generates highly precise execution signals based on price interactions with a customized Simple Moving Average (SMA), while executing real-time, dynamic risk and volatility calculations using the Average True Range (ATR) indicator.
This version marks a complete evolution in user experience. Designed for institutional-grade reliability, FLCproMAX v4.00 eliminates user error and manual optimization by embedding optimal trading hours, smoothing periods, and volatility multipliers directly into internal code presets. It does not use high-risk recovery methods such as martingale, grid, or averaging. Each trade is executed independently with a hardcoded, deterministic mathematical framework.
- VERY LIMITED COPIES AT CURRENT PRICE -9 COPIES LEFT
- NEXT Price: $499
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How to Get a Special Bonus EA 🎁
We appreciate our community and want to reward active traders! You can unlock an exclusive Bonus Expert Advisor (engineered for correlated assets to complement your portfolio) by following these simple steps:
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Purchase and Download the Institutional EA XAUUSD from the MQL5 Market.
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Leave an Honest Review based on your initial experience and backtest results on your product page.
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Send a Private Message directly to my MQL5 profile containing a screenshot of your review.
Once verified, you will receive the Bonus EA download link alongside a specialized setup guide completely free of charge!
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Supported Instruments & Built-In Presets
While FLCproMAX is engineered to adapt across any asset class, version 4.00 introduces full-scale automation and pre-calibrated hardcoded strategies for the absolute best-performing Forex Majors:
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GBPUSD Preset: Pre-loaded with a tight-knit momentum capture setting, built-in trailing stop management, and an automated low-profile risk setup.
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AUDUSD Preset: Pre-loaded with an expansion-trend configuration, wider target ratios, and custom structural boundaries optimized for maximum efficiency.
Note: For security and strict compliance with capital protection standards, the EA enforces internal maximum lot size limits optimized by asset class.
Ultimate Zero-Configuration Architecture (Plug & Play)
In older trading algorithms, users were forced to run endless optimization routines, adjust hundreds of complex parameters, and configure individual hourly switches, leading to flawed backtests and live execution errors.
FLCproMAX v4.00 solves this completely. All critical trading infrastructure is hidden under the hood and managed dynamically by the EA based on a single input choice. When you select your strategy preset, the EA instantly sets up:
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Exact Indicator Calibration: Automated smoothing periods for both FLC and SAT components.
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Optimized Filtered Trading Hours: The exact internal 9-hour active matrices are handled entirely by the source code.
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Algorithmic Target Multipliers: Precision-targeted Stop Loss and Take Profit distances scaled automatically to the pair's H1 structural volatility.
Trading Logic
The algorithmic directional entry matrix of FLCproMAX is fully transparent:
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Buy Signal: Generated when the current Bid price crosses and remains above the internal SMA line.
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Sell Signal: Generated when the current Ask price crosses and drops below the internal SMA line.
When a directional breakout matches an active, pre-programmed operational hour—and no other position is currently active on that symbol—the EA instantly calculates safe lot sizing, transmits a market order to the broker server, and locks in real-time volatility-based stop-loss and take-profit coordinates.
The EA operates on a strict one-position-per-symbol rule and does not allow position reversals, ensuring strict risk segregation.
Volatility-Driven Stop Loss & Take Profit
Both Stop Loss and Take Profit destinations are calculated dynamically as multiples of the ATR indicator on the H1 timeframe. The ATR value is monitored on every bar, allowing structural trade boundaries to automatically widen during high-volatility events or contract during low-liquidity cycles:
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GBPUSD Preset: Implements a protective Stop Loss of 22x ATR and an optimized Take Profit of 1.8x ATR, with the Trailing Stop fully activated (1.2x ATR Activation / 0.4x ATR Trailing Step) to secure gains.
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AUDUSD Preset: Implements a protective Stop Loss of 26x ATR and an advanced Take Profit expansion target of 3.0x ATR, utilizing a set target exit model with trailing stop features deactivated to let the trend mature safely.
Advanced Money Management & Lot Sizing
FLCproMAX v4.00 features a completely overhauled, ultra-clean Money Management interface. Users can alternate between two distinct execution methods:
1. Auto Lot Mode (Preset-Based Risk)
When Auto Risk is set to true , the EA automatically computes safe trading volumes based on live account balance, margin requirements, and the built-in risk assignment native to the chosen strategy:
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GBPUSD Preset: Runs on an automated LOW RISK (10%) profile allocation.
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AUDUSD Preset: Runs on an automated HIGH RISK (50%) profile allocation.
2. Fixed Lot Mode (Manual Control)
When Auto Risk is set to false , the automated risk engine is bypassed, and the EA instantly unlocks direct volume controls. The algorithm will strictly execute trades using the exact volume defined in the Fixed Lot Size parameter.
Every calculated lot size is subjected to internal safety filters, ensuring it respects the broker’s minimum/maximum boundaries, account free margin limitations, and asset-specific lot caps before transmission.
On-Chart Information Panel
FLCproMAX features an elegant, real-time dashboard drawn directly on your chart layout, ensuring you can monitor active operational matrix statistics instantly:
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Product Name & Active Version (v4.00)
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Selected Active Strategy Preset
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Active Risk Execution Mode (AUTO Preset Risk vs. MANUAL Fixed Lot Size)
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Dynamic ATR-calculated Target Distances
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Trailing Stop Operational Status (ENABLED / DISABLED)
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Live Multi-Timeframe ATR Value
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Daily Trade Counter
Parameter Summary (Sleek Input Panel)
The input screen has been heavily optimized and consolidated down to just four operational settings to guarantee maximum user convenience:
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Strategy Preset Pair: Dropdown menu to select your targeted strategy ( STRATEGY_GBPUSD or STRATEGY_AUDUSD ).
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Auto Risk: Main switch ( true / false ) to alternate between automated preset risk modeling and manual fixed volumes.
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Fixed Lot Size: The precise volume used by the EA when Auto Risk is set to false (Default: 0.01 ).
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Max Protection Risk Percent: A hardcoded global protection ceiling restricting maximum account exposure per trade (Default: 80.0% ).
Installation & Launch Instructions
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Download the FLCproMAX 4.ex5 file from your MQL5 Market purchases page.
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In MetaTrader 5, click File > Open Data Folder.
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Navigate directly into MQL5 > Experts.
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Copy and paste the .ex5 file inside this folder.
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Restart your MetaTrader 5 terminal or right-click the Navigator window and hit Refresh.
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Drag the EA from the Navigator panel onto a GBPUSD or AUDUSD chart (H1 Timeframe recommended).
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Select the corresponding asset preset from the Strategy Preset Pair parameter.
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Enable the Algo Trading icon in your MetaTrader 5 toolbar.
Requirements & Infrastructure Recommendations
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Platform: MetaTrader 5
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Account Type: Hedging Accounts (Netting environments are not supported due to matrix position recording structures).
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Leverage: Minimum 1:100, Recommended 1:500.
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VPS Recommendation: A dedicated Virtual Private Server (VPS) with ultra-low latency is highly recommended to ensure round-the-clock, continuous bar-by-bar execution without internet drops or latency bottlenecks.
Risk Disclosure
Trading foreign exchange, commodities, and derivatives carries a substantial level of risk and may not be suitable for all investment profiles. Backtest results represent historical mathematical simulations and offer no guarantee of future returns. High-risk preset environments can subject trading balances to rapid drawdown scenarios. Always evaluate system efficiency thoroughly on a demo environment for a minimum of three months before migrating to real capital environments.

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