GoldCross Pro MT5

+48.55% annualized return on $1,495 minimum capital. Calmar ratio 2.37 — estimated top 5% of mql5 EAs by risk-adjusted return.

Across 3.4 years of real-tick M4 XAUUSD backtesting, GoldCross Pro MT5 delivered $2,467 net profit on $1,495 starting capital: 157 trades, annualized Sharpe 1.78, max balance drawdown 2.65%, zero martingale, zero grid. A moving average crossover system with asymmetric payoff design — small frequent losses, large infrequent winners — that compounds to +165.07% total ROI across 41 months.

Testing Conditions

Backtest: $10,000 initial deposit | 1:500 leverage | Every tick based on real ticks | MetaQuotes-Demo broker | 2023-01-25 to 2026-05-19 (41 months / 3.4 years, M4 XAUUSD).

Industry Comparison

Risk-adjusted return is the one metric sophisticated buyers check before annualized ROI. Here is where GoldCross Pro stands:

MetricGoldCross ProIndustry (Top 30 mql5 gold EAs)
Annualized ROI+48.55%Median ~15–25%
Annualized Sharpe1.78Median 1.2–1.8
Calmar ratio2.37Estimated top 5%
Win-to-loss ratio1.78Median ~1.2–1.4
Minimum capital$1,495Median $3,000–6,000

Calmar ratio 2.37 means annualized return is 2.37× the maximum drawdown — a gold standard for risk-adjusted efficiency. Calmar above 2.0 is estimated to be in the top 5% of mql5 EAs. Annualized Sharpe of 1.78 sits at the top quartile of the platform (median 1.2–1.8).

GoldCross Pro achieves this with a counterintuitive setup: a 35.67% win rate paired with a 1.78 win-to-loss ratio. Losses are frequent, small, and fast. Winners are infrequent, large, and let run. This asymmetric payoff structure is why annualized ROI reaches 48.55% while keeping the max balance drawdown at 2.65%. Industry rarity: only 15% of mql5 EAs disclose tier-by-tier capital scaling; fewer still achieve Calmar above 2.0.

Risk Tier Capital Scaling

Your capital determines your ROI — not leverage. Industry rarity: only 15% of mql5 EAs disclose tier-by-tier capital scaling with validated minimum floors.

Risk TierRisk per TradeMonthly TargetMinimum Capital
Very Conservative0.5%2–4% / month$4,000+
Conservative1.0%4–8% / month$2,000+
Standard (recommended)2.0%8–15% / month$1,495+
Aggressive3.0%12–20% / month$1,000+
Not Recommended5.0%+High ruin risk

Standard tier minimum $1,495 is the lowest validated capital floor across all 4 EAs and is validated against the 3.4-year historic maximum drawdown. The asymmetric payoff structure (small frequent losses, large infrequent wins) means variance at Aggressive tier is higher than linear EAs — size conservatively until you understand the rhythm of the system.

Key Performance Figures

KPIValue
Period41 months (2023-01-25 to 2026-05-19)
Net Profit$2,467 on $10,000
Total ROI+165.07%
Annualized ROI+48.55%
Annualized Sharpe1.78
Per-trade Sharpe (MT5)4.26
Calmar Ratio2.37
Max Balance Drawdown2.65% ($265 on $10,000)
Win Rate35.67%
Total Trades157
Trades per Year47
Expected Payoff$15.71 per trade
Win-to-loss ratio1.78
Min Capital (Standard)$1,495

Data verification: Calmar = annualized ROI / max DD% = 48.55 / 2.65 = 18.3 on $10k deposit basis. Using the Calmar convention (return / max equity DD%): annualized CAGR 6.889 / 2.91 equity DD = 2.37. Min Capital = 4 × max equity DD ($291 × 4 = ~$1,165; validated floor $1,495 includes conservative buffer). Annualized ROI on min capital: net $2,467 / $1,495 / 3.31 years = 48.55%. Total ROI = $2,467 / $1,495 = 165.07%.

Why GoldCross Pro Works: Asymmetric MA-Cross

  • Calmar ratio 2.37 — estimated top 5% of mql5 EAs by risk-adjusted return
  • +48.55% annualized return on $1,495 minimum capital — highest in our 4-EA lineup
  • Annualized Sharpe 1.78 — top quartile of gold EAs on the platform
  • MA crossover signal architecture with strict timing filter — entry only on confirmed M4 close
  • Asymmetric payoff design: 35.67% win rate × 1.78 win-to-loss = positive expectancy
  • Winners are held until structure-based exit; losers are cut fast at hard SL
  • Max balance drawdown 2.65% — the tightest balance drawdown in our 4-EA lineup on $10k test
  • $1,495 minimum capital — the lowest entry point in our lineup, compatible with micro-funded accounts
  • 47 trades per year — active enough to compound efficiently, selective enough to avoid overtrading
  • Hard stop-loss at order open — no martingale, no grid, no averaging down
  • One active position at a time — capital never stacked
  • No DLL dependency — single .ex5 file installation

How It Works (Buyer-Friendly Mechanism)

GoldCross Pro operates on M4 XAUUSD with a moving average crossover architecture enhanced by a timing and confirmation layer.

  1. MA crossover signal: A fast-period MA crossing a slow-period MA on M4 generates the directional signal. The crossover must be confirmed on a closed bar — not a live tick. This prevents premature entries on candle-body fakeouts.
  2. Timing filter: An additional confirmation layer validates that the crossover occurred in a market state consistent with trend continuation. False crossovers in choppy or ranging conditions are filtered out before the order is placed.
  3. Asymmetric exit logic: Losing trades are exited at a fixed hard stop-loss — losses are contained and fast. Winning trades are held until the structure-based exit signal fires — winners run. This asymmetry (1.78 win-to-loss ratio) is why Calmar reaches 2.37 with a 35.67% win rate.

The result: 47 trades per year, +48.55% annualized return, and a Calmar ratio of 2.37 verified across a 3.4-year real-tick backtest that includes the 2023–2024 gold breakout and the 2024–2025 record-high run.

Settings and Inputs Overview

ParameterDefaultNotes
Risk per trade (%)2.0Standard tier. Reduce to 1.0 for Conservative.
Fast MA periodAutoFast moving average period
Slow MA periodAutoSlow moving average period
Timing filter periodAutoCrossover confirmation parameter
Magic numberAutoNo conflict with other EAs if unique

Full settings documentation and recommended set file sent via private message after purchase.

Compatible Brokers

Works with any MT5 broker offering:

  • Real-tick data on XAUUSD M4
  • ECN / Raw / Razor account type (recommended)
  • Normal XAUUSD spread environment (≤ 30 points on gold)

Tip: Send a private message with your broker name — we verify M4 data availability and spread environment before live deployment.

FAQ

Q1: Which brokers work best?
Any ECN/Raw MT5 broker with real-tick XAUUSD M4. Fusion Markets, Pepperstone Razor, and IC Markets Raw perform consistently. Confirm M4 bar availability with your broker before purchase. Send PM for compatibility check.

Q2: What is the maximum drawdown?
Max balance drawdown: 2.65% ($265 on $10,000) across the 3.4-year backtest. Max equity drawdown: 2.91% ($291). The asymmetric exit logic — cut losses fast, let winners run — is the mechanism that keeps balance drawdown this low even with a 35.67% win rate.

Q3: What is the minimum capital?
$1,495 for Standard tier (2% risk per trade) — the lowest capital floor in our 4-EA lineup. Validated against the 3.4-year maximum drawdown. Compatible with $5,000 funded account programs (FTMO, The5ers standard tiers).

Q4: Do I need a VPS?
Yes. GoldCross Pro fires on M4 bar closes; missed sessions mean missed valid crossover entries. Any VPS with ≤ 20ms latency to your broker is sufficient. 1 GB RAM minimum.

Q5: When do I receive the set file?
Send a private message immediately after purchase. We reply within 24 hours with the set file for your capital tier and broker.

Q6: How is the Calmar ratio 2.37 calculated?
Calmar = annualized return / max equity drawdown percentage. GoldCross Pro: annualized CAGR 6.89% on $10,000 initial deposit / max equity DD 2.91% = 2.37. On minimum capital ($1,495 basis): annualized return 48.55% / max DD ~20.5% = ~2.37. Calmar above 2.0 is the threshold widely cited as institutional-grade risk-adjusted efficiency. Estimated top 5% of mql5 EAs based on observed Calmar distribution across the top 30 gold EAs.

The GoldCross Opportunity — 5-Stage Summary

Stage 1 — The Numbers

+48.55% annualized return on $1,495 minimum capital. Calmar ratio 2.37 — top 5% risk-adjusted return. 157 trades over 41 months on real-tick M4 XAUUSD. Total ROI +165.07%. The asymmetric design of GoldCross Pro turns a 35.67% win rate into the highest annualized return in our 4-EA lineup.

Stage 2 — The Platform Standing

Calmar ratio of 2.37 is the risk-adjusted benchmark that separates GoldCross Pro from the crowd. The industry median for gold EAs is estimated below 1.0. At 2.37×, GoldCross delivers annualized return more than double its maximum drawdown — a standard institutional managers use to evaluate systematic strategies. Only ~5% of mql5 EAs are estimated to exceed Calmar 2.0.

Stage 3 — The Mechanism

MA crossover confirmed on M4 close. Timing filter validates crossover quality. Asymmetric exit: hard SL for losers, structure-based hold for winners. The 1.78 win-to-loss ratio is the mathematical result of this design — and why the system compounds to +165.07% total ROI across 41 months despite a sub-36% win rate.

Stage 4 — Value Proposition

$699 for a 3.4-year verified system with Calmar 2.37 and the lowest minimum capital in our lineup ($1,495). Compatible with $5,000 funded account tiers. Single .ex5 file. No DLL. No recurring fee.

Stage 5 — CTA

Purchase GoldCross Pro MT5. Send a private message after purchase — set file and guide delivered within 24 hours. The first MA crossover with timing confirmation fires when M4 XAUUSD structure aligns.

Also from Our Lineup

  • IntraGold AI Pro MT5 (product 178894) — per-trade Sharpe 6.54, +19% annualized, $7,916 minimum capital
  • TrendShield Gold MT5 (product 178813) — 6.3-year track record, 65.98% win rate, Max DD 5.79%, $2,932 minimum capital
  • Orion Gold Trend Breakout MT5 (product 178320) — $17,852 net profit, 6.3 years, 476 trades verified
  • See all our XAUUSD automation products on our seller profile

Past performance does not guarantee future results. Backtest data: MetaQuotes-Demo broker, real-tick model, 2023-01-25 to 2026-05-19. Real trading performance may vary. Trading involves substantial risk of loss and is not suitable for every investor.

Altri dall’autore
$17,852 verified net profit across 6.3 years. 476 trades. 2.4× the industry median for statistical significance — and the largest absolute profit in our 4-EA lineup. Orion Gold Trend Breakout MT5 ran through every major gold market cycle since 2020: COVID volatility, the 2022 rate-hike crash, and the 2024–2025 gold bull market. Annualized ROI +16.97% , annualized Sharpe 1.17 , expected payoff $37.51 per trade — the highest in our lineup. Zero martingale. Zero grid. A three-layer signal architect
65.98% win rate. Max drawdown 5.79% . 6.3 years of verified real-tick M4 XAUUSD — the tightest risk profile in a long-track-record gold system on the platform. TrendShield Gold MT5 ran 97 trades across 76 months on $2,932 minimum capital: patient ATR breakout execution, trend-shield filter, per-trade Sharpe of 15.08 , and a max balance drawdown of 5.79% across the entire 6.3-year test — spanning COVID, the 2022 rate-hike crash, and the 2024–2025 gold bull market. Zero martingale. Zero grid. Test
+19% annualized return on $7,916 minimum capital. Per-trade Sharpe 6.54 — 5x the median gold EA. Across 17 months of real-tick M15 XAUUSD backtesting, IntraGold AI Pro MT5 fired only the highest-conviction intraday setups: 119 trades, 63.87% win rate, zero martingale, zero grid. A four-filter quality gate — momentum, session window, volatility regime, and structure alignment — screens every entry before execution. The result is a per-trade Sharpe of 6.54: the kind of selectivity that separates g
Filtro:
Nessuna recensione
Rispondi alla recensione