Aurelia Addaptive Pro EA
- Experts
-
Yge Simon Pars
Headline: Seasoned Market Veteran & AI Algorithmic Developer
About Me: - Versione: 2.64
- Attivazioni: 5
📊 AURELIA ADAPTIVE PRO
Self-Learning, Regime-Aware Trading System for XAUUSD (Gold) – MT5 Expert Advisor
Aurelia Adaptive Pro is not a fixed-rule EA.
It is an adaptive trading system that continuously measures its own performance and the current market character, then automatically shifts between aggressive and conservative behaviour — more pressure when conditions are stable and the system is winning, less exposure when the market turns chaotic or its own edge weakens.
Designed, tested and iteratively refined on years of real-tick gold data.
No martingale. No grid. No averaging down.
Every trade has a hard stop from the moment it opens.
🎯 WHAT MAKES AURELIA ADAPTIVE PRO UNIQUE?
1. A living “Aggressiveness Score” (0–100)
Most EAs trade the same way in every market.
Aurelia computes a context-aware score from its realized results (profit factor, winrate, drawdown, loss streaks) plus market context (regime, volatility, open drawdown).
This single score then scales risk size, trailing distance and profit-taking speed.
Winning in a calm trend → the EA presses its edge.
Losing streak or volatility spike → it automatically defends.
2. It solves the #1 EA killer: giving back open profits
The Adaptive Exit Manager was built specifically against the classic pattern “EA is in profit, then ends at a loss”:
• Staged taking: partial at +1.5R, partial at +3R, runner beyond
• Breakeven protection after the first partial
• ATR trailing that widens in trends + Momentum Lock – during strong acceleration the stop is deliberately kept loose so winners are not shaken out early
• Structure (swing) trailing + profit-floor ratchet: once a trade reaches a new peak, the EA never gives back more than a fixed, configurable give-back
• Early invalidation: a trade that is wrong is cut at ~0.8R instead of waiting for the full stop – small losses, big psychological and statistical advantage
3. Adaptation that cannot self-destruct
Many “self-learning” EAs over-adapt and switch themselves off after a losing phase.
Aurelia uses bounded, gentle adaptation:
engine weights adjust with proven performance but are floored, regime switching uses hysteresis (separate enter/exit thresholds, no flip-flopping), and a short-performance gate automatically suspends short entries only when their realized performance is demonstrably toxic – and re-enables them when they recover.
4. One EA, every timeframe
Exit parameters (trail width, swing lookback, give-back) automatically scale with the timeframe: tight for M15/M30 scalping, wide for H1/H4 swing.
You do not need separate products or manual re-tuning per chart.
5. Professional operations built in
• Live on-chart dashboard (dark panel): regime, HTF bias, aggressiveness, signal, spread, equity guard, news status, account info, lifetime generated P/L
• Telegram signal feed in a clean, machine-readable pipe format (SIDE | PRICE | SL | LOTS | RISK | ENGINE | REGIME | AGG …) – ideal for copy-trading subscribers and third-party copiers
• News avoidance with two modes: built-in MT5 economic calendar on modern builds (HIGH impact, USD/EUR/GBP), or a simple CSV event file on older builds – entries are paused around red-flag events; open positions keep their protection
• Automatic GMT offset detection so session filters work on any broker server time
✨ CORE SYSTEMS
• Regime Engine (hysteresis): TREND UP / TREND DOWN / RANGE / HIGH VOLATILITY – entries and exits adapt to the regime; high-volatility regimes automatically reduce or block new exposure
• Three signal engines: Trend (EMA structure + ADX + MACD), Mean-Reversion (RSI extremes with confirmation), Breakout (range breakout with volume expansion). Signals are combined into a normalized composite – no single indicator decides
• Institutional-footprint filter: volume-spike / candle-body / close-location analysis (no external feeds) confirms that real participation is behind a signal
• HTF bias filter (H4): counter-trend trades against the higher-timeframe trend are filtered out
• Full risk stack: percent-risk lot sizing with margin checks, spread-vs-ATR cost filter, session filter (GMT), escalating loss-streak cooldown, equity guard (halves risk in drawdown, blocks entries in deep drawdown), hard per-trade maximum loss
• Self-learning loop: engine weights and the aggressiveness score update from closed trades – the EA gradually favors what actually works on your broker, spread and symbol
📈 HOW IT TRADES (IN ONE MINUTE)
1. Each confirmed bar, the engines vote; the composite signal must pass quality, regime, HTF-bias, order-flow, spread and news checks.
2. Position opens with a volatility-based stop (ATR) and risk-based lot size.
3. The Exit Manager takes over: partials → breakeven → momentum-aware trailing → profit-floor ratchet. Wrong trades are invalidated early; dead trades are closed by the stale-trade timer.
4. Meanwhile the learning layer watches every closed trade and adjusts aggressiveness, engine weights and the short gate.
⚙️ REQUIREMENTS & RECOMMENDATIONS
• Platform: MetaTrader 5 (all builds; calendar mode optional on build 2085+)
• Symbol: optimized for XAUUSD / Gold (any broker suffix). Other symbols possible but must be re-tested
• Timeframe: H1 recommended as primary; M15 works as a secondary, half-risk satellite
• Account: hedging account recommended; low-spread ECN/raw accounts strongly recommended for gold
• VPS: recommended for stable execution and news handling
• Telegram (optional): add https://api.telegram.org to the allowed WebRequest URLs
🚀 GETTING STARTED
1. Attach to an XAUUSD chart (H1). Defaults are the researched baseline – no tuning required to start.
2. Set your risk per trade (default 0.5%).
3. Run a real-tick backtest over 1–2 years, then 2–4 weeks demo/forward before live capital.
4. Optionally enable the news file or calendar mode, session filter and Telegram feed.
📋 SETTINGS OVERVIEW
All major behaviours are configurable:
risk & equity guard, regime thresholds, engine weights & entry threshold, exit stages (R levels, partial %, trailing multipliers, momentum lock, give-back), invalidation & stale exits, HTF bias, short gate, loss cooldown, TF adaptation, session/GMT, news mode, dashboard and Telegram.
⚠️ RISK DISCLOSURE
Trading foreign exchange, CFDs and commodities carries a high level of risk and is not suitable for every investor.
Past performance – in backtests or live – is not a guarantee of future results.
Aurelia Adaptive Pro is a risk-managed automation tool, not a profit promise.
Never trade with money you cannot afford to lose.
Use the built-in guardrails, start small, and forward-test before scaling.
Questions before or after purchase?
Use the comment/support channel – setup help, recommended presets for H1 and M15, and the news-file template are included with the product.
