QuantVision

0 recensioni
1 settimana
0 / 0 USD
crescita dal 2026 -1%
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  • Equità
  • Drawdown
Trade:
10
Profit Trade:
6 (60.00%)
Loss Trade:
4 (40.00%)
Best Trade:
20.37 USD
Worst Trade:
-18.57 USD
Profitto lordo:
50.32 USD (2 428 pips)
Perdita lorda:
-51.66 USD (7 231 pips)
Vincite massime consecutive:
4 (20.02 USD)
Massimo profitto consecutivo:
30.30 USD (2)
Indice di Sharpe:
0.02
Attività di trading:
7.54%
Massimo carico di deposito:
85.98%
Ultimo trade:
21 ore fa
Trade a settimana:
10
Tempo di attesa medio:
49 minuti
Fattore di recupero:
-0.04
Long Trade:
3 (30.00%)
Short Trade:
7 (70.00%)
Fattore di profitto:
0.97
Profitto previsto:
-0.13 USD
Profitto medio:
8.39 USD
Perdita media:
-12.92 USD
Massime perdite consecutive:
3 (-32.70 USD)
Massima perdita consecutiva:
-32.70 USD (3)
Crescita mensile:
-0.65%
Algo trading:
100%
Drawdown per saldo:
Assoluto:
21.24 USD
Massimale:
32.88 USD (15.15%)
Drawdown relativo:
Per saldo:
15.11% (32.79 USD)
Per equità:
3.33% (6.80 USD)

Distribuzione

Simbolo Operazioni Sell Buy
USOUSD 4
XAUUSD+ 4
GER40 2
1 2 3 4
1 2 3 4
1 2 3 4
Simbolo Profitto lordo, USD Perdita, USD Profitto, USD
USOUSD 20
XAUUSD+ 8
GER40 -30
10 20 30 40
10 20 30 40
10 20 30 40
Simbolo Profitto lordo, pips Perdita, pips Profitto, pips
USOUSD 1.3K
XAUUSD+ 280
GER40 -6.4K
2K 4K 6K
2K 4K 6K
2K 4K 6K
  • Carico di deposito
  • Drawdown
Best Trade: +20.37 USD
Worst Trade: -19 USD
Vincite massime consecutive: 2
Massime perdite consecutive: 3
Massimo profitto consecutivo: +20.02 USD
Massima perdita consecutiva: -32.70 USD

Lo slippage medio basato sulle statistiche di esecuzione sugli account reale dei vari broker è specificato in pip. Dipende dalla differenza tra le quotazioni del fornitore da "VantageInternational-Live 4" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.

VantageInternational-Live
5.53 × 98
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Multi-Asset FVG | Regime-Adaptive Algorithm

A fully automated, discretion-free system trading Fair Value Gaps on the M5 timeframe across five instruments, each in its native liquidity window: Nikkei 225 (Asian), DAX 40 (London), NAS100 (New York), and XAUUSD + EURUSD (London/NY overlap).

Every trade is a limit order placed on the retracement into a validated FVG — no market chasing, no martingale, no grid, no averaging down. Every position carries a hard stop loss and a fixed take profit from the moment it's opened.

What makes it different — the Regime Engine: The algorithm reads daily ADX to classify the current market into one of three states and loads a distinct, separately-tuned parameter set for each:

  • Trending (ADX ≥ 25): wider FVG tolerance, deeper retracement entries, higher targets to ride displacement.
  • Transition (ADX 20–25): balanced entries, standard targets and stops.
  • Choppy (ADX < 20): tightest gap filters to screen out news sweeps, wider stops to survive liquidity grabs, faster breakeven protection.

The same code behaves differently in a trending market than a ranging one — instead of forcing one fixed logic onto every condition.

Each instrument trades only in its native session, and every asset runs its own independently tuned parameter set across all three regimes — entry depth, gap filters, targets, and protection are calibrated per market, not forced from a single template.

Additional filters: Equilibrium-zone check (won't enter over-extended price), session time-gating and automatic breakeven once a trade reaches its protection threshold, order expirations if not filled after specified amount of bars.

Execution: Runs on a low-latency VPS for fast, consistent fills.

Risk: I run this as an aggressive growth strategy at 5% risk per trade — deliberate, not careless. Session isolation keeps simultaneous positions limited, but you should expect real drawdowns and trade accordingly. When you copy a signal on MT5, the platform scales my position sizes to your account and your chosen copy ratio, so you control your own exposure through your subscription settings — and most subscribers should run a fraction of my risk. Trading leveraged instruments carries substantial risk of loss. Past or simulated performance does not guarantee future results.


Non ci sono recensioni
2026.05.28 20:17
Removed warning: Low trading activity - not enough trades detected during the last month
2026.05.28 19:17
Removed warning: Low trading activity - not enough trades detected during the last month
2026.05.28 11:13
Share of days for 80% of growth is too low
2026.05.25 07:44
Share of trading days is too low
2026.05.25 07:44
Share of days for 80% of trades is too low
2026.05.23 14:18
Trading operations on the account were performed for only 0 days. This comprises 0% of days out of the 1 days of the signal's entire lifetime.
2026.05.23 14:18
80% of trades performed within 0 days. This comprises 0% of days out of the 1 days of the signal's entire lifetime.
2026.05.23 14:18
Low trading activity - only 0 trades detected in the last month
2026.05.23 14:18
This is a newly opened account, and the trading results may be of random nature
2026.05.23 14:18
The number of deals on the account is too small to evaluate trading quality
Per vedere i trade in tempo reale, nome utente o registrati
Segnale
Costo
Crescita
Abbonati
Fondi
Saldo
Settimane
Expert Advisor
Trade
Vincita %
Attività
PF
Profitto previsto
Drawdown
Leva finanziaria
49.9USD al mese
-1%
0
0
USD
204
USD
1
100%
10
60%
8%
0.97
-0.13
USD
15%
1:100
Copia