Aegis Matrix
- Experts
- Versione: 1.65
- Attivazioni: 10
概述
Aegis Matrix 是一款专为 XAUUSD 开发的多模块智能交易系统,其设计核心是可控风险敞口、篮子恢复和账户保护。
它并非旨在宣传不切实际的年度收益或实现最高的交易频率。
仅依靠持续高年化收益率是无法实现可持续交易的。长期资本增长通常源于耐心、可控的仓位规模、严谨的风险管理以及业绩的逐步积累。
Aegis Matrix遵循以下原则:
目标并非让资本快速增长,而是为资本提供一个结构化的增长机会,使其在控制可避免风险的同时逐步发展。
活跃度低并不一定意味着弱点。有时,EA 能做出的最佳决策是拒绝入场、推迟建仓,或者避免增加已经难以操作的投资组合。
为什么 Aegis Matrix 使用网格
该电网被设计成一种可控的恢复机制。
当初始仓位走势与预期相反时,精心设置的恢复仓位可以改善投资组合的平均入场价格。这使得投资组合能够在无需价格完全回升至初始入场价的情况下实现复苏。
然而,Aegis Matrix 并不会将每一次不利的市场波动都视为增持的机会。
它并非盲目地假设:
- 价格必须回归。
- 任何趋势都会逆转。
- 增加仓位总能解决亏损的交易。
- 篮子应该无限期地保持敞开状态。
- 投入资金时不应考虑市场状况。
该网格旨在帮助收回已投入的资金,而不是为无限平均化辩护。
因此,Aegis Matrix 将网格与以下元素结合起来:
- 基于ATR的动态间隔。
- 必须保持最小距离。
- 更大的间距适用于更深的层。
- 趋势感知型网格控制。
- 定向暴露限值。
- 价差和保证金检查。
- 模块级购物篮管理。
- 可选的损失和持有时间限制。
- 账户层面的回撤控制。
目标是控制局面,而不是激进地积累仓位。
保护是主要特征
Aegis Matrix 的主要特点是保护。
保护并不意味着不会发生损失。它指的是EA包含多项独立控制措施,旨在防止一次薄弱的入场时机或一次艰难的市场时期自动演变为不受控制的风险敞口。
首次进入控制
在打开新的购物篮之前,EA 可以评估:
- 更广泛的趋势一致性。
- H1 和 H4 不利动能。
- 价格过度上涨。
- 短期峰值附近存在潜在买入机会。
- 短期底部附近可能出现抛售。
- 波动冲击。
- 与长时间篮筐相关的症状。
- 现有同方向暴露。
- 当前价差和可用保证金。
这些控制措施旨在提高第一位置的质量——网格篮筐中最重要的一单。
自适应网格间距
网格间距根据 ATR 的波动性自动做出反应。
当波动性增加时,所需的距离也可以增加。计算出的距离绝不能低于配置的最小值或模块的内部最小值。
较深的篮筐可以使用逐渐增大的间距。这有助于减少在强劲的定向运动期间订单的快速堆积。
网格趋势控制
From the configured grid depth onward, the EA can evaluate whether the broader trend still supports another recovery order.
If the trend remains unfavorable, additional grid positions can be paused.
This prevents the system from treating every adverse price movement as an automatic reason to add exposure.
Independent Module Management
Aegis Matrix combines multiple modules designed for different:
- Market sessions.
- Trading directions.
- Oscillator conditions.
- Momentum conditions.
- Pullbacks.
- Breakouts.
- Price structures.
Each module maintains its own:
- Entry logic.
- Trading schedule.
- Basket.
- Average entry price.
- Grid distance.
- Profit target.
- Position identification.
- Recovery process.
A weak basket in one module does not become part of another module’s basket.
Directional Exposure Control
The EA can limit how many modules trade in the same direction simultaneously.
For example, the user may allow:
- One active Buy basket.
- One active Sell basket.
- No second basket in the same direction.
This reduces the chance of several modules creating highly correlated exposure during the same market movement.
Account and Basket Controls
Available controls include:
- Account drawdown response.
- Percentage-based drawdown limits.
- Fixed-money drawdown limits.
- Individual module loss limits.
- Losing-basket duration limits.
- Maximum positions per module.
- Maximum total positions.
- Maximum active modules.
- Maximum same-direction modules.
These controls cannot eliminate loss, but they provide defined boundaries for situations that should not be left completely open-ended.
Profit Management
Aegis Matrix does not apply the same profit objective to every basket.
A clean single-position trade may seek a larger target or use trailing profit management. A deeper recovery basket may accept a smaller target after recovering its floating loss.
Layered basket targets can therefore adjust according to basket depth:
- One position: larger profit objective.
- Two positions: standard target.
- Three positions: reduced recovery target.
- Four or more positions: capital-recovery-oriented target.
This reflects an important distinction:
A clean trade may be allowed to run. A deep basket should focus on reducing exposure and completing recovery.
Suitable Fusion and pattern modules can use smart trailing to capture extended movement after reaching the initial profit objective.
Economic Event Control
Gold can react strongly to economic announcements, central-bank decisions, inflation data, employment reports, and unexpected geopolitical developments.
Aegis Matrix can pause new entries around qualifying economic events.
Users can configure:
- Minimum event impact.
- Pause time before an event.
- Resume time after an event.
Suggested starting configuration:
- News control: enabled.
- Minimum impact: High.
- Pause before news: 120 minutes.
- Resume after news: 120 minutes.
The external event feed requires the following address to be allowed in MetaTrader 5 WebRequest settings:
External event data may occasionally be delayed or unavailable. News control should be considered an additional layer, not a guarantee against event risk.
Capital Requirements
Capital requirements depend on:
- Broker contract specifications.
- XAUUSD margin requirements.
- Account leverage.
- Spread and execution quality.
- Lot size.
- Grid spacing.
- Basket depth.
- Maximum simultaneous modules.
- Same-direction exposure.
- Selected account and basket limits.
General guidelines for XAUUSD:
- Practical minimum: approximately USD 1,000 per 0.01 lot.
- Recommended allocation: USD 2,000 or more per 0.01 lot.
- More conservative allocation: USD 3,000 or more per 0.01 lot.
Example:
| Account allocation | Relative exposure |
|---|---|
| $1,000 per 0.01 lot | Higher |
| $2,000 per 0.01 lot | Balanced |
| $3,000+ per 0.01 lot | More conservative |
These values are guidelines, not guarantees.
A larger balance provides additional margin capacity, but it cannot prevent loss when position size, basket depth, or correlated exposure is excessive.
Suggested Starting Configuration
For a balanced starting point:
- Symbol: XAUUSD
- Chart timeframe: M15
- Account type: Hedging
- Initial volume: 0.01 lot
- Dynamic allocation: USD 2,000 per 0.01 lot
- Trading direction: Direction per module
- Entry mode: Auto
- First-entry DD and long-hold control: Enabled
- First-entry trend control: Enabled
- Peak and bottom control: Optional
- Grid trend control: Enabled
- Maximum same-direction modules: 1
- Maximum active modules: 2
- Grid ATR multiplier: 1.5
- Minimum grid distance: 300 points
- Grid layer expansion: 15%
- Layered basket targets: Enabled
- Profit exit mode: Automatic by module
- News control: Enabled
- Minimum news impact: High
Broker symbol specifications differ. The point size, spread, minimum volume, volume step, leverage, and margin requirement should always be checked before live use.
Usage Guidance
For normal operation:
- Attach the EA to one XAUUSD M15 chart.
- Use a Hedging account.
- Keep Algo Trading enabled.
- Use a stable VPS where possible.
- Maintain sufficient free margin.
- Do not change the Magic Number while positions are open.
- Do not change order comments while baskets are active.
- Do not remove the EA while positions remain open.
- Review terminal messages for trading or event-feed errors.
- Use a unique Magic Number for every separate EA instance.
Aegis Matrix internally reads several timeframes. Changing the chart timeframe does not replace the internal module timeframes, but M15 is recommended for consistent chart organization.
Growth Philosophy
Aegis Matrix is designed around gradual accumulation rather than short-term performance claims.
High annualized returns usually require accepting higher exposure, deeper drawdown, larger position sizes, or greater dependence on favorable market conditions.
A slower approach may appear less exciting, but it can provide:
- Lower relative lot exposure.
- More available margin.
- Greater tolerance for abnormal volatility.
- More time to evaluate performance.
- Less pressure to increase risk after a losing period.
- A more sustainable relationship between capital and position size.
The EA’s purpose is not to force profit from every day, week, or month.
Its purpose is to participate when its modules identify a valid opportunity, manage adverse movement in a structured way, and protect the account from avoidable overexposure wherever possible.
Risk Statement
Aegis Matrix does not guarantee profit, capital recovery, or a specific annual return.
Grid trading can accumulate multiple positions and substantial floating losses. Dynamic spacing, trend checks, entry controls, loss limits, and drawdown management may reduce certain risks, but they cannot eliminate market risk.
Gold can move rapidly because of:
- Economic announcements.
- Central-bank decisions.
- Geopolitical events.
- Liquidity gaps.
- Spread expansion.
- Market opening and closing conditions.
- Unexpected volatility.
Past performance and testing results do not guarantee future results.
Disclaimer
This software is provided for educational, analytical, and automated-trading purposes only. It does not constitute financial, investment, legal, or tax advice.
The user is solely responsible for:
- Selecting the broker and account.
- Choosing the trading settings.
- Determining suitable capital allocation.
- Monitoring open positions.
- Maintaining sufficient free margin.
- Understanding leveraged trading risks.
- Complying with applicable laws and regulations.
The developer does not guarantee profitability, capital recovery, uninterrupted operation, or protection against losses.
The developer is not responsible for losses caused by market movement, leverage, configuration errors, broker execution, spread expansion, slippage, connection failures, VPS interruptions, terminal errors, or external data-source failures.
Only trade with funds you can afford to lose.
