XAU Portfolio Pro 3 TimeFrames
- Experts
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Fernando Medina Villanueva
Systems Engineer with over 15 years of experience in financial technology. I have developed a 100% automated algorithmic strategy, specialized exclusively in the gold market (XAUUSD). - Versione: 1.2
- Attivazioni: 10
XAU Portfolio Pro (3TF)
XAU Portfolio Pro (3TimeFrames) is a comprehensive trading system that combines three fully automated Expert Advisors, each optimized for a different timeframe on XAUUSD (Gold). This portfolio is designed to capture consistent returns across multiple market conditions by diversifying trading styles and timeframes.
Strategy Overview
The portfolio integrates three complementary strategies:
XAU Scalper Pro M15: Captures short-term price movements using precise entry signals and dynamic risk management. Ideal for volatile market conditions.
XAU Momentum Pro H1: Follows directional momentum on the hourly timeframe, capturing medium-term trends with adaptive stop-loss levels.
XAU Swing Pro H4: Targets larger market swings and trend reversals on the 4-hour timeframe, designed to capture sustained moves over multiple days.
By combining these three strategies, the portfolio achieves a balanced risk-reward profile that is resilient to changing market conditions. When one timeframe experiences low volatility or sideways movement, the other timeframes continue to generate opportunities.
Key Features
Multi-timeframe diversification: Three strategies operating on M15, H1, and H4 timeframes, reducing dependency on a single market condition.
Complementary trading styles: Scalping, momentum, and swing strategies work together to generate consistent returns.
Dynamic risk management: Each EA uses volatility-adaptive stop-loss and take-profit levels.
No dangerous techniques: No martingale, no grid, no hedging, no averaging.
Fully automated: Once installed, the portfolio manages all trades without manual intervention.
Purpose-built for XAUUSD: All strategies are optimized specifically for Gold trading.
Performance Metrics (Based on 2006-2026 Backtest)
Combined Net Profit: $65,239.23 (M15 base strategy, projected for portfolio)
Combined Profit Factor: > 1.70 (estimated across all timeframes)
Combined Sharpe Ratio: > 1.50
Maximum Drawdown: $5,000 - $7,000 (projected for portfolio)
Total Trades (Combined): 60-90 per month (average)
Win Rate (Combined): ~52% (average across strategies)
CAGR (Combined): 35% - 45% (projected)
These results are based on tick data with 99.9% quality and variable spread simulation. Past performance does not guarantee future results.
Portfolio Input Parameters
Each EA in the portfolio has its own set of input parameters, allowing you to customize risk and performance for each timeframe individually:
Magic Number: Unique identifier for trades opened by each EA.
Lot Size: Fixed
Lot Calculation Method: Fixed proportional (based on account balance). Proportion: 0.01 lots per $2,000 balance[citation:5].
Risk Per Trade: Percentage of equity to risk per trade.
Stop Loss (Points): Base SL distance (adjusted by volatility).
Take Profit (Points): Base TP distance (adjusted by volatility).
Max Spread: Maximum allowed spread.
Time Filter: Trading hours (optional).
Requirements
Platform: MetaTrader 5.
Symbol: XAUUSD (Gold).
Timeframes: M15, H1, and H4.
Minimum Deposit: $500 recommended (tested with $2,000).
Account Type: ECN, RAW, or Standard accounts with low spreads.
VPS: Highly recommended for 24/7 uninterrupted performance.
Installation and Support
The portfolio is delivered as three compiled .ex5 files (one for each timeframe). Simply install all files in your MetaTrader 5 Experts folder, attach each EA to its respective XAUUSD chart (M15, H1, H4), and configure the input parameters as desired. For support, please use the product comments section or the MQL5 messaging system.
Why Choose the Portfolio?
If you are looking for a complete, diversified solution for trading Gold, the XAU Portfolio Pro (3TF) offers the most comprehensive approach. Instead of relying on a single timeframe, this portfolio adapts to market volatility and direction, providing a more stable equity curve and reducing the emotional burden of manual trading.
