CPI Gold Hunter

Product Name: CPI Gold Hunter

Introduction

CPI Gold Hunter is not a standard automated trading bot; it is a highly specialized, semi-automated utility designed to exploit extreme market volatility during high-impact news releases such as CPI, NFP, and FOMC.

Instead of guessing the market direction, this tool deploys a smart, bidirectional Buy Stop and Sell Stop grid seconds before a major news event. Whether the market shoots straight up, dumps hard, or viciously whipsaws (sweeping both sides), this tool is mathematically structured to capture the momentum while tightly managing risk.

The Core Strategy: Why the Win Rate is Exceptionally High

  • Bidirectional Momentum Catching (Sweep Tolerance) During major news, the market often spikes aggressively in one direction, or sweeps both ways (up then down). Because the bot places both Buy Stops and Sell Stops at predetermined intervals, it doesn't matter which way the market goes. If a whipsaw occurs, the bot can successfully trigger and hit Take Profits (TP) on both the buy and sell sides.

  • Smart Tiered Lot Sizing (The Built-In Safety Net) Unlike dangerous Martingale systems, this bot uses a Tiered Lot Step approach. The logic is simple but incredibly effective:

  • The bot groups orders into tiers (e.g., 4 orders per tier).

  • Example: It places four 0.10 lot orders, followed by four 0.20 lot orders, etc.

  • The Mathematical Edge: For a higher lot order (e.g., 0.20) to be triggered, the previous four smaller orders (0.10) must have already hit their Take Profit. Therefore, if the market suddenly reverses and hits the Stop Loss (SL) of the 0.20 order, the profits secured from the four 0.10 orders easily cover that loss, keeping you in net profit.

  • The Infinite Runner Final Order To maximize massive one-way news trends, the very last order in the grid is deployed without a Take Profit (TP = 0). While all previous orders safely lock in profits at set distances, this final order is designed to ride the trend as far as it can go. If the market continues to surge, this order will generate massive returns until you manually close it.

How to Use (Step-by-Step Guide)

This is a manual-assist tool, giving you full control over when to trade.

  • Setup: Attach the EA to your chart (Recommended: XAUUSD, M1 or M5 timeframe). Adjust your lot sizes, tier size, and price distance based on the expected volatility.

  • Timing: Wait for a high-impact news release (e.g., Non-Farm Payrolls).

  • Execution: 3 to 5 seconds before the news hits, click the on-screen BOT: OFF button to switch it to BOT: ON.

  • Action: The bot instantly deploys the dual-grid.

  • Profit Taking: Watch the market smash through the Take Profits. If the trend is huge and triggers your final (no TP) order, let it run and manually close it when you are satisfied with the profit.

  • Cleanup: Click the button to turn the bot OFF. It will automatically delete any remaining untriggered pending orders.

Input Parameters

  • Initial Lot: The starting lot size for the first tier of orders.

  • Lot increase Step: The amount of lot size added when moving to the next tier.

  • Maximum Lot: The absolute maximum lot size the bot is allowed to place.

  • Number of orders before increasing lots: How many consecutive orders are placed before the lot size increases (e.g., 4 orders of 0.1, then 4 orders of 0.2).

  • Price Distance: The exact distance between Entry, Stop Loss, and Take Profit. (e.g., 3.0 for Gold means a 3-point / 30-pip gap). You can adjust this based on how wild you expect the news to be.

  • Magic Number: Unique identifier for the bot's trades.

Risks & Recommendations (Must Read)

While the logic of this bot is highly robust, news trading carries inherent structural risks that are out of the EA's control:

  • Slippage: During NFP or CPI, liquidity drops. Your Buy/Sell Stops might suffer from slippage, meaning they could open at a worse price than requested.

  • Widens Spreads: Massive spread widening can hit Stop Losses prematurely.

  • Adjust Inputs: If you expect insane volatility, increase the Price Distance so orders aren't grouped too tightly, reducing spread/slippage impact. Adjust the Initial Lot to a safe level.

  • Broker Choice: You must use a True ECN / Raw Spread broker with excellent execution speed and deep liquidity.

  • VPS: Always run this on a low-latency VPS (less than 5ms to your broker's server) to ensure your orders are triggered instantly.

This tool gives you the ultimate mathematical edge during news events, but always practice on a Demo account first to understand your broker's slippage behavior during live news.


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