Aurum Atlas Gold
- Experts
- Versione: 2.4
- Aggiornato: 1 luglio 2026
- Attivazioni: 10
Technical XAUUSD Portfolio Expert Advisor for MetaTrader 5
Aurum Atlas Gold is a capital-adaptive Gold / XAUUSD M1 portfolio EA for MetaTrader 5. It trades a diversified set of internal technical strategy modules and separates two important setup decisions: strategy frequency and lot-risk profile.
The public setup uses a clean two-axis model:
- Strategy Frequency: Low or High.
- Lot Risk Profile: Conservative, Balanced or Aggressive.
Live Signal
Default live evaluation is intended around a 3000 USD account using High Frequency + Balanced Risk:
https://www.mql5.com/en/signals/2372427
Main Features
- XAUUSD / Gold Expert Advisor for MetaTrader 5.
- Designed for M1 execution.
- Portfolio of internal technical strategy modules.
- Low and High strategy-frequency modes.
- Conservative, Balanced and Aggressive lot-risk profiles.
- Current-balance adaptive lot sizing.
- Lot Risk Scale input for controlled manual adjustment.
- Optional manual near-take-profit close setting using a user-selected dollar gap, such as 0.10 or 0.20.
- Optional NFP window filter.
- Optional weekend gap and Friday flat controls.
- Optional emergency drawdown guard.
- Designed for hedging accounts and VPS operation.
- No martingale recovery.
- No classic fixed-distance grid.
Backtest Evidence
The current public evidence package was tested on XAUUSD_, M1, using the CFI MT5 Strategy Tester with 5 ms execution delay over the period from 2024.05.20 to 2026.06.29.
The evidence uses 100% real ticks. The displayed evidence includes the public profile matrix for 3000 USD, 15000 USD and 25000 USD starting balances across Low and High frequency modes and Conservative, Balanced and Aggressive risk profiles.
The default public setting is High Frequency + Balanced Risk.
Default Profile Evidence
High Frequency + Balanced Risk, 3000 USD initial deposit:
- Trades: 1,124
- Win rate: 80.60%
- Profit factor: 4.587
- Net profit: 45,509.35 USD
- Final balance: 48,509.35 USD
- Expected payoff: 40.49 USD
- Balance drawdown: 751.92 USD / 5.11%
- Equity drawdown: 1,237.05 USD / 6.93%
- Profitable monthly buckets: 23 / 25, equal to 92%
Funding Scale Evidence
The default High Frequency + Balanced Risk profile was also tested on larger deposits. These are separate Strategy Tester runs, not simple extrapolations from the 3000 USD test.
- 3000 USD: 45,509.35 USD net profit, final balance 48,509.35 USD, PF 4.587, 23 / 25 profitable months.
- 15000 USD: 150,988.08 USD net profit, final balance 165,988.08 USD, PF 3.562, 23 / 25 profitable months.
- 25000 USD: 189,500.33 USD net profit, final balance 214,500.33 USD, PF 3.303, 23 / 25 profitable months.
The strongest public matrix case was 25000 USD + High Frequency + Aggressive Risk:
- Trades: 1,192
- Net profit: 245,818.38 USD
- Final balance: 270,818.38 USD
- Profit factor: 3.128
- Win rate: 78.52%
- Balance drawdown: 6.38%
- Equity drawdown: 6.61%
- Profitable monthly buckets: 23 / 25, equal to 92%
Trading Profiles
Strategy Frequency: Low
More selective strategy participation. This mode reduces activity and focuses on fewer internal modules.
Strategy Frequency: High
Higher activity mode. This is the default public setting and enables the broader technical portfolio.
Lot Risk Profile: Conservative
Lower lot allocation for users who want reduced exposure.
Lot Risk Profile: Balanced
Recommended starting profile for demo testing and cautious live evaluation.
Lot Risk Profile: Aggressive
Highest standard lot profile. Use only after reviewing the historical drawdown, broker execution quality and your personal risk tolerance.
Manual Near-TP Close Option
The EA includes an optional manual near-take-profit close setting. When enabled, the user can define the dollar distance from take profit where the EA may close the trade manually, for example 0.10 or 0.20 USD from the TP price.
This is not a substitute for broker-side stop loss or take profit execution. It is an optional market-close helper near TP. Actual live closure can still be affected by spread, slippage, tick timing, liquidity and broker execution rules.
Recommended Setup
- Open your broker's Gold symbol, such as XAUUSD, XAUUSD_ or GOLD.
- Use the M1 timeframe.
- Attach Aurum Atlas Gold.
- Leave Gold Symbol Override blank unless your broker uses a non-standard symbol.
- Start with High Frequency + Balanced Risk on demo.
- Use Low Frequency if you want lower activity and a more selective strategy set.
- Use Conservative if you want lower exposure.
- Use Aggressive only after reviewing drawdown and broker execution behavior.
- Use a stable VPS for live operation.
- Test spread, commission, swap, leverage, symbol specifications and execution quality on your broker before live use.
Evidence Disclosure
The screenshots and public CSV files in this package are rendered from MT5 Strategy Tester results from the public real-tick evidence run. They are historical Strategy Tester results, not live results.
Trading Risk Disclaimer
Trading Gold, Forex, CFDs and other leveraged products involves substantial risk and may not be suitable for all investors. You can lose part or all of your invested capital.
Backtests, Strategy Tester reports, screenshots and historical statistics do not guarantee future results. Live results can differ because of broker spread, slippage, execution speed, liquidity, commissions, swaps, market gaps, VPS latency, symbol specifications and tick-data quality.
Aurum Atlas Gold is an automated trading tool. No Expert Advisor can guarantee profit or prevent losses in all market conditions. Before using this EA on a live account, test it on a demo account, understand the settings, and choose a risk level appropriate for your capital and risk tolerance. Do not trade money you cannot afford to lose. The user is fully responsible for all trading decisions and account risk.
