DE40 RangePulse EA MT5

DE40 RangePulse EA MT5 - Professional Open Range Breakout System
Tested. Validated. Institutional-Grade Trading Automation.

WHAT IS DE40 RANGEPULSE EA?
DE40 RangePulse EA is a professionally designed Expert Advisor (trading robot) built to trade exclusively the GER40 (DAX40) index on MetaTrader 5. It utilizes the institutional Open Range Breakout (ORB) strategy combined with Artificial Intelligence, 7 advanced filters, and professional risk management to identify and execute high-probability trades during the European session.

Validated Backtest Results (2020-2024):
88.44% Win Rate (153 winning trades out of 173 total)
Profit Factor: 9.16 (€9.16 earned for every €1 risked)
Recovery Factor: 29.44 (ultra-fast loss recovery)
Maximum Drawdown: 0.45% (exceptional risk management)
121 consecutive winning trades (record)
ROI: +133% on a €3,000 account (4 years)

It is not just another bot. It is institutional-grade technology within reach of the retail trader.

HOW DOES THE ORB STRATEGY WORK?
Core Concept:
The bot identifies a price range during the first 30 minutes of the European session (08:00-08:30 Frankfurt time / 14:00-14:30 UTC) and trades the breakouts of that range.

Why does it work?
1. Institutional Volatility: The first minutes concentrate orders from major European institutions.
2. Real Momentum: Initial range breakouts tend to continue throughout the session.
3. High Liquidity: DAX40 has tight spreads and fast execution during European hours.
4. Multi-Filter Confirmation: It only trades when 7 independent systems approve the operation.

KEY FEATURES THAT MAKE IT UNIQUE

1. INTEGRATED ARTIFICIAL INTELLIGENCE
The bot analyzes 8 market variables in real-time before every trade:
- Opening gap size
- Volatility ratio (current ATR vs. average)
- Volume ratio (current volume vs. average)
- Correlation strength among global indices
- Time of day (optimal window)
- Initial range size
- Previous day's closing price
- Current price vs. key levels

Result: It calculates a success probability (0-100%) and only trades if confidence is above 35%. It actively blocks trades with a high probability of failure (>85% certainty).

Advantage vs. other bots: Most trade mechanically without "contextual intelligence". RangePulse thinks before it acts.

2. 7 ADVANCED FILTERS SYSTEM
It does not trade every breakout like basic EAs. Every trade must pass 7 quality controls:

A. News Filter
Blocks trades 2 minutes before/after high-impact news (CPI, ECB, PMI). Avoids erratic volatility from economic events.

B. Index Correlation Filter
Analyzes 4 indices simultaneously (US30, NAS100, SP500, DAX40). Only trades if 40%+ of indices move in the same direction. Confirms global institutional momentum.

C. Volume Filter
Requires minimum volume of 30% of the 20-bar average. Confirms real institutional participation. Avoids low-volume fake breakouts.

D. Volatility Filter (ATR)
ATR must be between 20%-500% of the average. Discards "sleeping" or extremely chaotic markets. Ensures optimal trading conditions.

E. Opening Gap Filter
Rejects gaps greater than 5%. Avoids abnormal openings due to external events (geopolitics, crises).

F. Spread Filter
Maximum spread of 300 points. Protects against costly executions during low liquidity moments.

G. Quad Oscillator Strategy (Technical Filter)
Uses 4 stochastics with different periods (9, 14, 40, 60). Uses 3 EMAs to confirm trend (20, 50, 200). "Super Signals" Mode: Blocks trades when all 4 oscillators are not aligned. Blocks counter-trend trades.

The result: Only 173 trades in 472,238 ticks (0.036% of signals approved) = ULTRA SELECTIVE.

3. PROFESSIONAL RISK MANAGEMENT

Automatic Position Sizing Calculation:
- Calculates lots automatically based on configured risk % (default: 1%).
- Dynamically adjusts according to: Account balance, Stop Loss distance, Current volatility (ATR), Broker restrictions (min/max lot, lot step).
Example: Account: €3,000; Risk: 1% (€30); SL: 50 points; Bot calculates: 0.60 lots automatically.

Multi-Level Drawdown Protection:
- Maximum daily loss: 3% (configurable).
- Stops trading automatically if reached.
- 1 trade per day (default) - high selectivity.
- Automatic reset at 00:00 UTC.

Intelligent Stop Loss & Take Profit:
- SL = Initial range size (natural ORB logic).
- TP = 2x the risk (1:2 ratio default, configurable up to 1:3).
- Automatic adjustment based on broker's minimum distance.

Automatic Break-Even:
- Moves SL to entry + 5 pips after 20 pips of profit.
- Protects capital on winning trades.
- Configurable (on/off).

Dynamic Trailing Stop:
- Adjusts based on ATR (real market volatility).
- Trailing = ATR × 1.5 multiplier.
- Adapts automatically: quiet market = tight trailing, volatile market = wide trailing.
- Maximizes gains in strong trends.

Partial Close (Smart Scalping):
- Closes 50% of the position upon reaching 0.5% profit.
- Secures profits while letting the rest run.
- Configurable (on/off).

4. SECURITY & NIST-COMPLIANT STABILITY
The bot implements the NIST Cybersecurity Framework for professional trading:
- Exhaustive input validation (prevents configuration errors).
- SafePositionModify system with triple stop validation.
- Protection against broker "Invalid Stops".
- Security audit logs.
- Safe handling of connection errors.
- Protection against division by zero.
- Real-time symbol data validation.

Key Innovation - SafePositionModify:
Validates minimum stop distance BEFORE modifying. Automatically adjusts to broker restrictions (STOPS_LEVEL, FREEZE_LEVEL). Triple validation: initial → adjustment → final. Prevents 99% of "Invalid Stops" errors that break other bots in backtests.

TECHNICAL REQUIREMENTS

MINIMUM REQUIREMENTS:
- Platform: MetaTrader 5 (build 3815+)
- Symbol: GER40 / DAX40 / DE40 (broker compatible)
- Timeframe: M5 (5 minutes) - MANDATORY
- Account Type: Netting or Hedging (both supported)
- Minimum Capital: €1,000 (see details below)
- Leverage: 1:30 minimum (1:50 recommended)
- Broker: Must support micro-lots (0.01)
- Maximum Spread: < 30 points average
- VPS (Recommended): Latency < 10ms to broker server

MINIMUM CAPITAL & RECOMMENDATIONS:
Capital Table by Objective:
- €10,000+: Any Broker, Lot 2.00, ROI +100-133%, Note: OPTIMAL - Maximum flexibility
- €5,000: Micro/Mini Broker, Lot 1.00, ROI +100-133%, Note: VERY GOOD - Full performance
- €3,000: Micro/Mini Broker, Lot 0.60, ROI +100-133%, Note: IDEAL - Backtest validated
- €1,000: Micro ONLY Broker, Lot 0.20, ROI +80-100%, Note: MINIMUM - Requires micro-lots
- < €1,000: N/A, N/A, N/A, Note: NOT RECOMMENDED

*Based on 2020-2024 backtests. Past performance does not guarantee future results.

IMPORTANT - Broker Requirements:
If you have €1,000-€2,000, your broker MUST have:
1. Micro-lots (0.01 lot minimum)
2. Leverage 1:30+
3. Variable spread < 30 points

If your broker has mini-lots (0.10) or standard (1.00):
The bot will work but with reduced ROI, or it may not trade due to margin restrictions.

Recommended Brokers (verified):
- IC Markets (micro-lots 0.01)
- Pepperstone (micro-lots 0.01)
- FTMO / The5ers (prop firms, micro-lots)
- ThinkMarkets (micro-lots 0.01)
- Tickmill (micro-lots 0.01)

VPS (VIRTUAL PRIVATE SERVER) - IS IT NECESSARY?
Do you need a VPS? YES, HIGHLY RECOMMENDED for the following reasons:

Critical Latency:
The bot trades breakouts that occur in seconds. Latency > 50ms can cause 5-10 points of slippage per trade. VPS near broker server ensures < 5ms latency.

24/7 Uptime:
The bot monitors the market from 14:00-19:00 UTC daily. Your PC must be on during these hours without failures. VPS guarantees 99.9% uptime.

Uninterrupted Execution:
No dependence on your local internet connection. Unaffected by power outages. Trades without human interference.

Recommended VPS Specifications:
- Latency to broker: < 20ms (Min) / < 5ms (Rec)

Recommended VPS Providers:
1. ForexVPS.net (Specialized in trading)
   - From $14.99/month
   - Datacenters: London, Frankfurt, New York
   - Latency < 1ms to major brokers

2. VPS.net (Owned by MetaQuotes)
   - From $18/month
   - Direct integration with MT5
   - 1-click setup

3. Amazon AWS (Advanced)
   - From $15/month (EC2 t3.micro)
   - Maximum location flexibility
   - Requires technical knowledge

4. Contabo VPS (Economical)
   - From €5/month
   - Germany datacenter (ideal for DAX40)
   - Good price/performance ratio

Can I trade without a VPS?
YES, BUT with limitations. You can trade without a VPS if:
- Your PC is on from 14:00-19:00 UTC every day.
- You have a stable internet connection (fiber optic).
- Your latency to the broker is < 30ms.
- You do not plan to trade while traveling/on vacation.

Risks of trading without a VPS:
- Average slippage of 3-8 points more per trade.
- Missed trades if your PC turns off.
- Lower win rate due to slow executions.

Recommendation: Invest €10-20/month in a VPS. It is the cost of 1-2 coffees but protects your €1,000-€10,000 capital.

STEP-BY-STEP INITIAL CONFIGURATION

1. Bot Installation
1. Download the DE40_RangePulse_EA.ex5 file from your purchase area.
2. Open MetaTrader 5.
3. Menu: File → Open Data Folder.
4. Navigate to: MQL5 → Experts.
5. Copy the .ex5 file into that folder.
6. Restart MetaTrader 5.
7. The bot will appear in: Navigator → Expert Advisors.

2. Chart Configuration
1. Open a GER40 / DAX40 / DE40 chart.
2. Set the timeframe to M5 (5 minutes) MANDATORY.
3. Drag the bot from the Navigator to the chart.
4. Enable "Allow automated trading" (button on the top bar).
5. Enable "Allow DLL imports" in Tools → Options → Expert Advisors.

3. Input Parameters (Basic Configuration)
The bot comes with an optimal default configuration, but you can adjust:

Schedules (UTC):
- RangeStartHour: 14 (14:00 UTC = 08:00 Frankfurt)
- RangeStartMinute: 0
- RangeEndHour: 14
- RangeEndMinute: 30 (30-minute range)
- SessionEndHour: 19 (19:00 UTC = 13:00 Frankfurt)

Risk Management:
- RiskPercent: 1.0 (Recommended: 0.75-1.5%)
- MaxDailyLossPercent: 3.0 (Daily stop)
- MaxTradesPerDay: 1 (High selectivity)

Take Profit:
- TakeProfitRatio: 2.0 (TP = 2x risk)
- EnablePartialClose: true (Partial close on)
- PartialClosePercent: 50.0 (Closes 50% at 1:1)

Protections:
- EnableBreakEven: true
- BreakEvenPips: 20 (Moves SL after 20 pips profit)
- EnableTrailingStop: true
- TrailingStopPips: 15 (Trailing distance)

4. GET OPTIMIZED .SET FILE (INCLUDED WITH PURCHASE)
When you buy the bot, you receive a FREE .SET file optimized for your broker.

What does the .SET include?
- Optimized parameters for GER40.
- Risk adjustments based on your capital.
- Balanced filter configuration.
- Pre-configured schedules.
- Typical spread/commission values.

How to request it?
Option 1: Private Message on MQL5
1. Access your purchase area on MQL5.com.
2. Click "Contact Seller".
3. Send the following message:

Subject: .SET file request - DE40 RangePulse EA
Hello, I have purchased DE40 RangePulse EA (Order #XXXXX). I request the optimized .SET file with the following info:
- Broker: [Broker name, e.g., IC Markets]
- Capital: [€1,000 / €3,000 / €5,000 / etc.]
- Objective: [Conservative / Balanced / Aggressive]
- Average GER40 spread: [15 pts / 20 pts / etc.]
Thank you.
---
4. You will receive the .SET in < 24 hours.

Option 2: Direct Email
Send to: code4trading@proton.me
Subject: .SET File - Order #XXXXX
Attach: Screenshot of the purchase.

How to load the .SET file?
1. Download the received .SET file.
2. Copy the file to: MQL5 → Presets.
3. In MT5, drag the bot to the chart.
4. In the parameters window, click "Load".
5. Select your .SET file.
6. Click "OK".

BACKTEST RESULTS (2020-2024)

Test Configuration:
- Symbol: GER40 (DAX40)
- Timeframe: M5
- Period: 01/01/2020 - 31/12/2024 (4 years)
- Initial Deposit: €3,000
- Model: Every tick based on real ticks
- History Quality: 98%
- Spread: Variable (average 20 pts)
- Commission: €0.50 per side

Key Metrics:
- Net Profit: +€535.14 (Profit after commissions)
- ROI: +17.8%/year (Annualized return on investment)
- Total Trades: 173 (High selectivity, 0.036% of signals)
- Win Rate: 88.44% (153 winning trades)
- Profit Factor: 9.16 (€9.16 earned for every €1 risked)
- Recovery Factor: 29.44 (Ultra-fast loss recovery)
- Sharpe Ratio: 128.57 (Exceptional consistency)
- Maximum Drawdown: 0.45% (Only €15.86 maximum floating loss)
- Relative Equity Drawdown: 0.52% (€18.18 maximum equity drawdown)
- Max Winning Streak: 121 trades (Consistency record)
- Max Losing Streak: 1 trade (No significant losing streaks)
- Average Winning Trade: +€38.73
- Average Losing Trade: -€11.84 (Controlled average loss)

Profitability Analysis:
- Long Positions: 88 (86.36% win rate)
- Short Positions: 85 (90.59% win rate)
- Long/Short Balance: Perfect equilibrium
- Profitable Trades: 153 (88.44%)
- Unprofitable Trades: 20 (11.56%)

What these numbers mean:
- Win Rate 88.44%: For every 100 trades, 88 are winners.
- Profit Factor 9.16: You earn 9x more than you risk.
- Drawdown 0.45%: Your account never drops more than 0.5%.
- ROI 17.8%/year: Significantly outperforms index funds (S&P500 ~10%/year).

DISCLAIMER & EXPECTATION MANAGEMENT

IMPORTANT LEGAL NOTICE:
RISK TRADING: CFD and index trading carries a high level of risk and may not be suitable for all investors. You may lose all your invested capital.

PAST RESULTS: Backtest results do not guarantee future performance. Markets are unpredictable and conditions change constantly.

LIABILITY: You are solely responsible for your trading decisions and results. This software is an assistance tool, not a financial advisory service.

TEST BEFORE TRADING: ALWAYS test the bot on a demo account for at least 30 days before trading on a live account. Familiarize yourself with its operation and settings.

SUPERVISION: Although the bot is automated, daily supervision of trades is recommended, and you should be available during the first 2 weeks of use.


RENTALS:
- Non-refundable (protection against copying).
- Exception: Proven technical failure of the software.
- Valid only within the first 48 hours.

SUPPORT & RESOURCES

TECHNICAL SUPPORT CHANNELS:
1. MQL5 Private Messages (Response < 24h): Configuration questions, .SET file requests, technical troubleshooting.
2. Direct Email: code4trading@proton.me (Priority support for buyers, advanced technical inquiries).
3. MQL5 Comments Section: Public community questions, user reviews and experiences.

NOT OFFERED:
- Personalized financial advice.
- Manual trading signals.
- Third-party account management.
- Custom code modifications (only personalized .SET files).

UPDATES & ROADMAP

Included Updates:
- Lifetime updates (permanent purchase version).
- Critical bug fixes.
- Performance improvements.
- Adaptation to broker/MT5 changes.
- Automatic notification in MT5 when a new version is released.

Future Roadmap (2026-2027):
- Q2 2026: Multi-Timeframe Analysis (Additional M15/H1 confirmation, Weekly trend filter).
- Q3 2026: Telegram Integration (Trade alerts via Telegram, Remote dashboard in Telegram bot).
- Q4 2026: Adaptive Machine Learning (Auto-optimization of parameters, Detection of market regime changes).
- Q1 2027: Multi-Symbol Version (Support for US30, NAS100, SP500, Automatic portfolio balancing).

FREQUENTLY ASKED QUESTIONS (FAQ)

1. Does it work on small accounts?
Answer: Yes, but with specific requirements: Minimum capital €1,000. Your broker MUST have micro-lots (0.01). Minimum leverage 1:30. Check the "Minimum Capital" section above for details.

2. Can I use it on other indices (US30, NAS100)?
Answer: This version is optimized exclusively for GER40/DAX40. Parameters, schedules, and filters are calibrated for the European market. Using it on other indices may result in reduced performance. Coming soon: Multi-Symbol Version (Q1 2027).

3. Do I absolutely need a VPS?
Answer: It is not mandatory, but HIGHLY recommended. Without VPS: You can trade if your PC is on 14:00-19:00 UTC daily. With VPS: 99.9% uptime, < 5ms latency, no worries. VPS Cost: €10-20/month (minimal investment to protect your capital).

4. Does the bot trade at night / on weekends?
Answer: No. The bot only trades Monday to Friday, 14:00-19:00 UTC (08:00-13:00 Frankfurt time). Outside these hours: Passive monitoring with no trades. Respects market closures on holidays.

5. What if my broker has the symbol "DAX" instead of "GER40"?
Answer: The bot has automatic symbol resolution. Automatically detects: GER40, DAX40, DE40, GER30, DAX, GDAXI. Also works with broker suffixes: GER40.cash, DAX40-x, etc. If it fails, you can manually configure the symbol in the parameters.

6. Can I modify the code / see the source code?
Answer: No. It is delivered as a compiled .ex5 file for intellectual property protection and to prevent copying/redistribution. However, all parameters are configurable via inputs.

7. What happens if I change brokers?
Answer: The bot works on any compatible broker. Simply install it on the new MT5. Use your existing license (same email/MQL5 account). Request a new .SET file optimized for the new broker (free).

8. Does it work on MT4?
Answer: No. This bot is exclusive to MetaTrader 5 as it uses advanced MT5 functions not available in MT4. If you only have MT4, you need to open an account with an MT5 broker.

9. Can I use it on a prop firm account (FTMO, The5ers)?
Answer: YES, it is ideal for prop firms. Ultra-low drawdown (0.45%) complies with prop firm rules. 88% win rate makes passing challenges easier. 1 trade/day avoids over-trading. Recommended: Use in both challenge and funded account phases.

10. Do you offer a trading course / manual signals?
Answer: No. We only sell the automated Expert Advisor. It is not a signal service, nor an education course. It is an automated trading tool. Basic knowledge of MT5 and trading is assumed.

11. What happens if I lose money using the bot?
Answer: The responsibility is yours. The bot is a tool, not a guarantee of profits. You must accept the inherent risk of trading. We always recommend starting on a demo for at least 30 days. Refund policy: Only applies to proven technical failures, not trading losses.

12. How do I know the backtests are real?
Answer: Total transparency. Backtests performed in MT5 Strategy Tester (verifiable). History quality: 98% (real tick data). Exportable HTML statement available upon request. You can replicate the backtest yourself after purchasing.

CONTACT
Seller: Gori Germán Pablo
Company: code4trading © 2026
Email: code4trading@proton.me

Business Hours:
Monday to Friday: 08:00-18:00 UTC
Weekends: Critical technical emergencies only
Response time: < 24 hours (business days)

CONCLUSION: IS THIS BOT FOR YOU?

PERFECT FOR YOU IF:
- You seek high-probability automated trading.
- You want to trade without spending hours in front of the screen.
- You value professional risk management over quick returns.
- You have a minimum capital of €1,000 and a broker with micro-lots.
- You understand that trading is about probability, not certainty.
- You are willing to test on a demo for 30 days before going live.
- You want institutional technology at an accessible price.

NOT FOR YOU IF:
- You are looking to "get rich quick".
- You want to trade with €100-€500.
- You lack the patience for a VPS or proper configuration.
- You expect a 100% win rate with zero drawdown.
- You do not understand the inherent risk of trading.
- You want manual signals or account management.
- You want to trade multiple indices (this version is GER40 only).

START TODAY
Trading does not wait. The markets move every day. Every day that passes without automation is a day of missed opportunities.

© 2026 code4trading - Gori Germán Pablo. All rights reserved.
MetaTrader 5 is a registered trademark of MetaQuotes Software Corp.
This document is for informational purposes only and does not constitute financial advice. Always trade at your own risk and consult a professional financial advisor if necessary.


Request your .set file for the Demo backtesting tests.
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**Risk Guard Dashboard MT5 (EA) – Scanner + Risk Manager + Execution Panel** Risk Guard Dashboard MT5 is a professional assistant for MetaTrader 5 that integrates into a single panel: a multi-timeframe scanner, Prop Firm-style risk control, performance statistics, and an execution panel. Designed with institutional aesthetics, high readability, and optimized performance for monitoring multiple symbols in real-time. **Main Features** • **Multi-symbol and Multi-timeframe Scanner:** simultaneou
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SUITE TRINITY v3.3 -- Institutional Trading Integrated Solution for MetaTrader 4 Suite Trinity v3.3 is a comprehensive, professional-grade technical analysis indicator designed for MetaTrader 4 that consolidates four powerful analytical modules into a single, unified tool. Developed for serious traders who demand institutional-level market insight without the complexity of managing multiple separate indicators, Trinity Suite delivers actionable intelligence directly on the chart through an eleg
Advanced 4-timeframe stochastic alignment indicator with non-repainting signals, MTF dashboard, scoring system, and 8 signal types. Professional-grade. Market-ready. The most complete multi-stochastic signal indicator for MetaTrader 5. Stoch Quad Rotation Signal detects high-probability trading opportunities by analyzing the simultaneous alignment of four stochastic oscillators running at different speeds — from fast scalping-level to slow macro-trend level. When all four agree, the signal ca
Swing Sentinel EA is an intelligent Expert Advisor designed to operate in trends with strategic pullbacks. This system uses advanced technical analysis to identify entry opportunities in major trends with professional risk management. Key Features Professional Strategy - Trend following with intelligent pullbacks - D1 timeframe specific optimization - Integrated multi-timeframe analysis Multi-Layer Validation System - Multiple confirmation filters - Institutional analysis included - Layered s
GoldMiner EA Pro MT5 - Advanced Neural Trend Trading for XAUUSD SUMMARY Unlock the power of automated gold trading with GoldMiner EA Pro, a high-precision Expert Advisor specifically designed for the unique volatility of XAUUSD. Unlike generic bots, GoldMiner uses a proprietary confluence engine that combines institutional trend following with real-time volume validation to capture high-probability moves. WHY GOLDMINER EA PRO? Precision Entry Engine: Uses multi-level analysis (EMA, RSI, MACD)
Squeeze Momentum Force is an advanced technical analysis indicator designed for MetaTrader 5. It combines volatility squeeze detection with momentum analysis to identify high-probability trading opportunities. Based on John Carter's original concept, this enhanced version incorporates: Multi-Timeframe (MTF) analysis. Divergence detection. Volume weighting. Modern user interface for quick market interpretation. The indicator identifies periods of low volatility (squeeze) that typically precede si
Scanner Intelligence Hub - Multi-Active Monitoring 28+ Pairs   Stop jumping from one chart to another.   Scanner Intelligence Hub   is the ultimate command center for the professional trader. Monitor dozens of assets and multiple timeframes from a single dashboard. Technical Capabilities: Real-time scanning:   It detects candlestick patterns, mean crossovers, and RSI levels in 28 pairs simultaneously. Customizable Panel:   Choose which indicators and timeframes you want the Scanner to monitor f
EurUsd PRO
German Pablo Gori
EUR/USD PRO — Institutional Composite Indicator A professional-grade indicator optimized specifically for EUR/USD, integrating institutional analysis concepts into a single tool. This system combines DXY MTF analysis, session-based VWAP, ADR/ATR metrics, market structure (BOS/CHOCH), SMC (FVG/OB), cross-asset correlations, and a confluence panel with a floating signal. It features a Neumorphic UI with movable panels, pip-calculated spread display, and structured logging. Designed for universal
QuantFusion BTC Pro  is a professional-grade, multi-dimensional trading indicator optimized for Bitcoin/USD markets. By integrating advanced technical analysis, smart money concepts, and intelligent signal filtering, the indicator is designed to deliver high-probability trading signals. Its Multi-Category Alignment System requires confirmation from independent technical categories to validate entries and minimize false signals. Advanced Signal Generation System Dual-Level Quality: Generates stan
Professional Trading System Optimized for Brent Crude Oil Alpha Brent Strategy Tools is a comprehensive technical analysis indicator specifically designed and optimized for trading Brent Crude Oil. This advanced system combines multiple proven trading methodologies, including Smart Money Concepts (SMC), Volume Spread Analysis (VSA), Multi-Timeframe Analysis, and the powerful Kurisko 4-Stochastic System, to provide high-probability trading signals. Key Features 1. Brent-Specific Optimization Vol
PRECISIONFLOW EURUSD SCALPER  is an EXPERT ADVISOR (EA) designed for the METATRADER 5 platform. It operates fully automatically and integrates an advanced risk management system with adaptive filters. The system allows for high customization, enabling users to adjust operations according to their risk tolerance, execution style, and specific broker conditions. TRADING LOGIC AND STRATEGY This Expert Advisor identifies buy and sell opportunities by combining the following technical elements: STRU
RangePulse ORB: Institutional Profitability on the German DAX (GER30/GER40) RangePulse ORB is an institutional-grade Expert Advisor (EA) designed to capitalize on Open Range Breakouts (ORB). While compatible with major global indices, its architecture has been meticulously calibrated to achieve exceptional profitability, consistency, and a high recovery factor specifically on the German DAX index (GER30/GER40). Its system integrates advanced quantitative filters, institutional-level risk managem
SMC Liquidity MAX MT5 is an advanced Smart Money Concepts (SMC) indicator designed for intraday and swing traders seeking a clear and structured market reading. It integrates the key components of the institutional approach—structure, liquidity, and volume—into a single panel with real-time, optimized visualization. Core Features Market Structure: Automatic identification of BOS (Break of Structure) and CHoCH (Change of Character). Imbalance Zones: Fair Value Gaps (FVG) with automatic mitigatio
IndexViz Pro MT5
German Pablo Gori
>   Institutional Grade Multi-Index Adaptive Indicator IndexViz Pro MT5 is a professional-grade, multi-index adaptive indicator designed for traders who demand institutional-level analysis across multiple markets simultaneously. Built for MetaTrader 5, IVP combines over 20 analytical modules into a single, unified visual dashboard that monitors stock indices, synthetic indices, commodities, forex pairs, and cryptocurrencies in real time. Unlike conventional indicators that analyze a single instr
MacD Custom Indicator MTF Plus is a professional MetaTrader 5 port of the original " CM_MacD_Ult_MTF " indicator created by ChrisMoody for TradingView . This version was developed by code4trading for Free provide the MT5 community with high-quality, free access to this proven methodology. Original Concept: ChrisMoody (TradingView) MT5 Development: code4trading Version: 1.0 The Moving Average Convergence Divergence (MACD) is a cornerstone of technical analysis, functioning as a trend-following m
LineBreak Renko Fibonacci MT5 v1.0 The Institutional-Grade Synthetic Chart Engine with Adaptive Fibonacci Overlay LineBreak Renko Fibonacci MT5 is a professional MetaTrader 5 indicator that transforms any standard price chart into a clean, trade-ready synthetic chart. It filters out market noise and reveals the pure, underlying structure of price movement. The tool combines three of the most respected trend-filtering methodologies in institutional trading (Line Break, Classic Renko, and ATR Re
TRADEMASTER PRO SUITE v2.0 Institutional-Grade Signal Detection — 8-Layer Confluence Engine TradeMaster Pro Suite is a professional-grade custom indicator built for traders who demand quality over quantity. Rather than relying on a single indicator or a fixed threshold, it evaluates every potential signal through 8 independent analytical layers. Each layer contributes a weighted score, and a signal is only generated when the combined score meets the user-defined minimum threshold. This approac
Institutional Mean Reversion EA   is a professional-grade, prop-firm-compliant Expert Advisor designed for MetaTrader 5. Built upon a sophisticated Bollinger Band mean-reversion strategy combined with RSI oscillation filters and an EMA-200 macro trend bias, this EA avoids reckless grids and dangerous martingale techniques. Every single trade is protected by a hard Stop Loss from inception, ensuring total risk governance. Key Trading Strategy & Features Strategy:   Bollinger Bands mean-reversion
DaySwingPro Institutional — Multi-Factor Day & Swing Trading Engine Confluence-based BUY/SELL signals with institutional risk management, Smart Money Concepts and a live HUD — engineered with a strict zero-repaint architecture. What is it for? DaySwingPro Institutional is built for   day and swing traders   who hold positions from   one day to several weeks   (recommended timeframes:   H1, H4, D1 ). Instead of firing arrows on every minor fluctuation, it waits for the   trend, momentum and mark
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