EdgeDriven Multi Asset Portfolio

  • Experts
  • Dan Mishima
    Dan Mishima
    Vantaggio supportato da prove concrete.
    EdgeDriven Algo è un marchio di Expert Advisor (EA) che sviluppa sistemi di trading algoritmico, privilegiando robustezza e riproducibilità attraverso la verifica statistica.
  • Versione: 1.12
  • Attivazioni: 5

EdgeDriven Multi Asset Portfolio

Six markets. Three timeframes. Eleven fixed strategy modules. One EA.

EdgeDriven Multi Asset Portfolio is a multi-market Expert Advisor for MetaTrader 5 hedging accounts.

A single EA manages strategies across USDJPY, EURUSD, GBPUSD, Gold, US100 and Bitcoin, using H1, H2 and H4 data. You do not need to run or coordinate eleven separate EAs.

Risk is controlled at portfolio level. Choose Low 2%, Standard 5%, High 10%, or enter your own Custom risk value.

On the USD100,000 Balance-based reference backtest, these settings produced historical maximum equity drawdowns of approximately:

  • Low 2% - 4.96%
  • Standard 5% - 11.01%
  • High 10% - 19.81%

These are historical backtest results, not future loss limits or forecasts.

The portfolio does not use martingale sizing or grid averaging. If a broker's minimum trade size would exceed the risk allowed for a trade, the EA skips that trade instead of increasing risk.

Try the free Market demo first to check symbol compatibility, settings and Strategy Tester behavior with your broker.

At a glance

Item Specification
Platform MetaTrader 5
Account type Hedging
Markets USDJPY, EURUSD, GBPUSD, XAUUSD, US100, BTCUSD
Portfolio 11 fixed strategy modules
Timeframes H1, H2, H4
Operation One EA on one chart
Default risk Standard 5%
Risk base Balance by default; Equity also available
Position sizing Risk-based; no fixed-lot mode
Current evidence Production backtests; no dedicated public live/forward record yet

Why multi-asset?

A single market or strategy can behave differently as market conditions change.

This portfolio combines FX, Gold, a US equity index and Bitcoin within one risk framework. The aim is to reduce dependence on a single market or entry model while keeping operation simple.

Fixed portfolio composition:

  • USDJPY - 4 modules
  • BTCUSD - 3 modules
  • EURUSD - 1 module
  • GBPUSD - 1 module
  • XAUUSD - 1 module
  • US100 - 1 module

Timeframes:

  • H1 - 5 modules
  • H2 - 2 modules
  • H4 - 4 modules

Each module receives an equal share of the portfolio's initial risk budget.

Diversification does not eliminate risk. Markets can become correlated and several modules can lose at the same time.

Choose risk by drawdown tolerance

Mode Portfolio Risk Historical Max Equity DD
Low 2% 4.96%
Standard - default 5% 11.01%
High 10% 19.81%
Custom Your value Depends on the selected risk and trading conditions

Reference: Production backtest from 8 May 2017 to 30 June 2026, USD100,000 initial deposit, Balance-based sizing, 1:100 leverage, one-minute OHLC, custom symbols and reference trading costs.

Historical drawdown is not a future maximum-loss guarantee.

Low is intended for users who prefer smaller position sizes and lower historical drawdown.

Standard is the default setting and provides a middle ground between portfolio participation and historical drawdown.

High is intended for users who are comfortable with substantially larger drawdowns.

Custom lets you enter your own percentage directly, for example 3.0% or 6.5%.

The normal reference range is 2-10%. Selected stress tests between 0.55% and 20% were also performed on the USD100,000 Balance reference account. This does not mean every value, account size or broker environment will behave identically.

How risk control works

The selected Portfolio Risk is divided across the eleven modules.

For each trade, position size is calculated from:

  • the selected Balance or Equity base
  • entry price
  • stop-loss distance
  • the broker's contract and volume specifications

The EA also checks risk from its own open positions and pending orders before allowing additional exposure.

If the broker's minimum lot would exceed the allowed risk, the EA skips the trade instead of increasing lot size.

Changing Portfolio Risk changes position sizing. It does not change the underlying signal logic, stop-loss formula or portfolio membership.

Actual trade participation can still change because of minimum lot sizes, margin requirements, rounding and already-open positions. Returns and drawdowns therefore do not scale perfectly with the selected percentage.

Balance uses closed account balance for sizing and is the default.

Equity includes floating profit and loss when calculating position size.

Historical production evidence

All results below are Production Backtests, not live or forward performance.

Test Period Risk PF Trades Max Equity DD
Development 2017-05-08 to 2022-12-31 1.10% 1.42 1,959 2.75%
Validation 2023-01-01 to 2024-12-31 1.10% 1.30 721 2.62%
Final 2025-01-01 to 2026-06-30 1.10% 1.58 517 2.84%
Combined - current Standard setting 2017-05-08 to 2026-06-30 5.00% 1.43 3,187 11.01%

Development, Validation and Final were performed using the original 1.10% validation profile. They are separate historical phases and should not be interpreted as 5% tests.

The Combined result uses the current Standard 5% setting and covers the full period. Because it overlaps the three phases above, it is not an additional independent sample.

Results can differ between brokers because of spreads, commissions, swaps, symbol specifications, margin rules and execution. One-minute OHLC simulation cannot reproduce every live tick or fill.

There is currently no dedicated public live or forward record for this product.

News and weekend controls

For guarded markets, live operation uses the native MT5 Economic Calendar with caching and failure handling.

If required calendar data is unavailable or stale, new entries for affected modules are blocked rather than silently trading without the guard.

BTCUSD modules are not filtered by the economic-news guard.

The portfolio also includes defined Friday/weekend controls and is not designed for continuous weekend Bitcoin trading.

News controls, stop losses and weekend rules cannot prevent every gap, execution failure or market shock.

Account size and broker compatibility

USD100,000 is the reference backtest balance. It is not a minimum required deposit.

Smaller accounts can behave differently because a broker's minimum lot may be too large for the selected risk.

When this happens, the EA skips the trade instead of exceeding the risk allowance. If many trades are skipped, the effective portfolio can differ from the reference backtest, especially for Bitcoin, Gold and index modules.

Tests on USD10,000, USD25,000 and USD50,000 accounts covered risk settings between 0.55% and 2.20%. The published 5% and 10% reference results should not be assumed to apply directly to those account sizes.

Symbol compatibility

Broker symbol names vary.

The EA supports automatic detection of common aliases and broker prefixes/suffixes. Each of the six markets also supports manual symbol mapping.

Examples:

  • XAUUSD / GOLD
  • US100 / USTEC / NAS100
  • BTCUSD / XBTUSD
  • broker-specific FX suffixes

All six markets are required to reproduce Full Portfolio Mode.

If a market is unavailable, the affected modules remain inactive while available modules can continue operating. Risk assigned to an unavailable module is not redistributed to the others.

Use the free Market demo to confirm compatibility with your broker before purchasing.

Setup

  1. Install the free Market demo and run the EA in MT5 Strategy Tester.
  2. Check the six detected symbol mappings and adjust manual overrides if needed.
  3. Confirm that you are using a hedging account.
  4. Select your Risk Mode and Risk Base.
  5. Review Strategy Tester results, Experts log and module participation.
  6. After purchase or rental, attach one EA instance to one chart and keep MT5 connected with Algo Trading enabled.

The attached chart timeframe does not control the internal strategies. The EA reads H1, H2 and H4 data internally.

You do not need eleven charts or eleven EA instances.

A VPS can improve terminal availability but cannot guarantee connectivity, calendar availability or trading results.

Free demo

The MQL5 Market demo lets you test the EA in Strategy Tester before purchasing.

Use it to check:

  • broker symbol mapping
  • initialization
  • Risk settings
  • multi-symbol operation
  • historical behavior

The Market demo is a Strategy Tester evaluation, not a live-account trial, and does not predict future performance.

Rental is also available if you prefer a shorter commitment before purchasing the full license.

Who this product is for

This EA may suit users who:

  • want a fixed multi-market portfolio instead of a single-market system
  • understand that drawdowns and losing periods are unavoidable
  • want direct control over portfolio risk
  • can verify broker compatibility before live use
  • prefer defined-risk sizing over martingale or grid recovery

It is not intended for users who expect guaranteed monthly profits, zero drawdown or identical results across all brokers.

Frequently asked questions

Is this a martingale or grid EA?
No. The portfolio does not use loss-recovery lot escalation or grid averaging. Multiple fixed modules can trade the same market independently, but this is not a recovery basket.

Do I need eleven charts?
No. One EA instance manages all eleven modules.

Can I change the risk?
Yes. Choose Low, Standard or High, or enter a Custom Portfolio Risk value.

Is USD100,000 required?
No. It is the reference backtest balance. Smaller accounts can be used, but minimum lot and margin constraints may change trade participation.

What if my broker uses GOLD instead of XAUUSD, or USTEC instead of US100?
The EA supports automatic detection of common aliases and manual overrides.

What happens if my broker does not offer one of the six markets?
The relevant modules remain inactive. The EA can continue operating with available markets, but this is not the same portfolio tested in the published Full Portfolio results.

Does the news guard guarantee protection from news losses?
No. It controls exposure around specified scheduled events on guarded markets. It cannot eliminate gaps, slippage, unscheduled news or execution risk.

Why might my trades differ from the published backtest?
Broker data, spreads, swaps, commissions, contract specifications, execution timing, margin, lot rounding and skipped trades can all create differences.

Does BTC trade throughout the weekend?
No. BTC modules follow the portfolio's weekend controls.

Do I need a VPS?
Not strictly, but continuous terminal availability is important for automated trading. A VPS can help maintain uptime.

How can I get support?
Use MQL5 Comments or MQL5 Messages. Include the EA version, settings, broker symbol names and relevant log extracts. Never send account passwords or credentials.

Support covers installation, technical issues and product operation. It does not include profit guarantees or personal investment advice.

Risk disclosure

Trading can result in loss of capital.

Diversification, stop losses, position sizing, news controls and portfolio risk limits do not eliminate trading risk.

All published results are historical Production Backtests under the stated conditions. They are not predictions, guarantees or maximum-loss limits.

Choose a Risk setting only after considering both your drawdown tolerance and the actual trade participation produced by your broker and account size.

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Bogdan Ion Puscasu
4.96 (221)
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Bogdan Ion Puscasu
4.84 (506)
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Scalping Index Pro is a professional trading system designed specifically for fast and precise scalping on US30 and DE40 using the M1 timeframe . The system has been developed specifically for the unique behavior of major stock indices, focusing on short term price movements, rapid momentum changes, market volatility, and selective grid based trade management techniques to identify high probability trading opportunities . Scalping Index Pro is optimized for traders who prefer dynamic trading wit
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Stanislav Tomilov
5 (3)
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MQL TOOLS SL
4.33 (112)
The XG Gold Robot MT5 is specially designed for Gold. We decided to include this EA in our offering after extensive testing . XG Gold Robot and works perfectly with the XAUUSD, GOLD, XAUEUR pairs. XG Gold Robot has been created for all traders who like to Trade in Gold and includes additional a function that displays weekly Gold levels with the minimum and maximum displayed in the panel as well as on the chart, which will help you in manual trading. It’s a strategy based on Price Action, Cycle S
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Andrii Soma
5 (10)
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Chen Jia Qi
4.58 (24)
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Shengzu Zhong
4.6 (10)
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Profalgo Limited
4.71 (45)
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Miguel Angel Vico Alba
4.23 (26)
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Bogdan Ion Puscasu
4.78 (131)
Quantum Bitcoin EA   : niente è impossibile, è solo questione di capire come farlo! Entra nel futuro del trading   di Bitcoin   con   Quantum Bitcoin EA   , l'ultimo capolavoro di uno dei migliori venditori di MQL5. Progettato per i trader che richiedono prestazioni, precisione e stabilità, Quantum Bitcoin ridefinisce ciò che è possibile nel mondo volatile delle criptovalute. IMPORTANTE!   Dopo l'acquisto, inviami un messaggio privato per ricevere il manuale di installazione e le istruzioni d
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Shengzu Zhong
5 (1)
Conto di Trading Reale — LIVE SIGNAL | IC MARKETS: https://www.mql5.com/en/signals/2339082 GoldWave Ultra utilizza la stessa logica di trading principale e lo stesso framework di esecuzione del segnale live verificato mostrato sopra su MQL5. Quando l'EA viene utilizzato con le impostazioni ottimizzate raccomandate presso un broker ECN/RAW Spread affidabile ( ad esempio, TMGM ), il suo comportamento nel trading reale è progettato per seguire da vicino la struttura delle operazioni, la gestione de
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Ihor Otkydach
4.76 (25)
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Chiroptera
Rob Josephus Maria Janssen
4.5 (50)
Prop Firm Ready! Chiroptera is a non-martingale, non-grid, multi-currency Expert Advisor that operates in the quiet hours of the night. It uses single-placed trades (of all 28 pairs!) with tactically placed Take Profits and Stop Losses, that are continuously adjusted to maximize gains and minimize losses. It keeps track of past and upcoming news reports to ensure impacts are minimized and carefully measures real-time volatility to prevent impacts due to unpredictable geo-political disturbances c
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Sathit Sukhirun
4.38 (8)
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William Brandon Autry
5 (19)
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Chen Jia Qi
4.51 (61)
Gold House — Gold Swing Breakout Trading  One EA. Three Trading Modes. Choose the One That Fits Your Style. No Grid. No Martingale. The price will increase by $50 after every 10 purchases. Final planned price: $1,999. Live Signals:  Profit Priority Mode: https://www.mql5.com/en/signals/2359124 BE priority Mode :  https://www.mql5.com/en/signals/2372604 Important: After purchasing, please remember to send us a private message to receive the recommended parameters, instructions, precautions,
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Amir Hossein Moharreri
4.55 (11)
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Andrii Soma
5 (2)
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Gold Trade Pro MT5
Profalgo Limited
4.33 (39)
Promo lancio! Sono rimaste solo poche copie a 449$! Prossimo prezzo: 599$ Prezzo finale: 999$ Ottieni 1 EA gratis (per 2 account commerciali) -> contattami dopo l'acquisto Ultimate Combo Deal   ->   click here Live signal:   https://www.mql5.com/en/signals/2084890 Live Signal high risk :  https://www.mql5.com/en/signals/2242498 Live Signal Set Prop Firm Set File JOIN PUBLIC GROUP:   Click here Parameter overview Gold Trade Pro si unisce al club degli EA che commerciano oro, ma con una gran
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Jimmy Peter Eriksson
4.08 (37)
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Altri dall’autore
EdgeDriven Gold Portfolio is a fixed, multi-strategy XAUUSD Expert Advisor for MetaTrader 5 hedging accounts. Instead of relying on a single entry model, it combines 20 fixed strategy modules using H1/H4 market data. Each module keeps its own trade ownership and exits, while one EA manages portfolio-level sizing, weekend rules, news controls and execution checks. The portfolio is fixed. It is not a strategy builder, optimizer or signal selector. EdgeDriven Algo — Edge, Backed by Evidence. The r
EdgeDriven Dollar Yen Portfolio is a fixed, nine-module USDJPY Expert Advisor for MetaTrader 5 hedging accounts. One installation evaluates multiple H2 strategy modules under a common risk and execution framework with separate module ownership. At a glance USDJPY H2 portfolio — 9 fixed strategy modules No Martingale or grid averaging Protective stop-loss, break-even management and bar-count exits 3,386 historical trades from January 2014 through June 2026 Combined historical MT5 Profit Factor: 1
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