crescita dal 2026 -42%
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  • Equità
  • Drawdown
Trade:
347
Profit Trade:
164 (47.26%)
Loss Trade:
183 (52.74%)
Best Trade:
24.79 CAD
Worst Trade:
-8.45 CAD
Profitto lordo:
541.71 CAD (534 092 pips)
Perdita lorda:
-641.51 CAD (840 868 pips)
Vincite massime consecutive:
15 (27.37 CAD)
Massimo profitto consecutivo:
40.18 CAD (12)
Indice di Sharpe:
-0.06
Attività di trading:
96.81%
Massimo carico di deposito:
26.43%
Ultimo trade:
48 minuti fa
Trade a settimana:
38
Tempo di attesa medio:
1 giorno
Fattore di recupero:
-0.62
Long Trade:
210 (60.52%)
Short Trade:
137 (39.48%)
Fattore di profitto:
0.84
Profitto previsto:
-0.29 CAD
Profitto medio:
3.30 CAD
Perdita media:
-3.51 CAD
Massime perdite consecutive:
26 (-68.67 CAD)
Massima perdita consecutiva:
-83.03 CAD (18)
Crescita mensile:
-19.71%
Algo trading:
99%
Drawdown per saldo:
Assoluto:
109.21 CAD
Massimale:
160.72 CAD (56.01%)
Drawdown relativo:
Per saldo:
56.01% (160.72 CAD)
Per equità:
17.81% (36.18 CAD)

Distribuzione

Simbolo Operazioni Sell Buy
EURUSD 56
BTCUSD 51
USDCAD 48
USDJPY 48
GBPUSD 48
ETHUSD 36
USDCHF 24
AUDUSD 15
GBPJPY 12
AUDJPY 9
10 20 30 40 50 60
10 20 30 40 50 60
10 20 30 40 50 60
Simbolo Profitto lordo, USD Perdita, USD Profitto, USD
EURUSD -16
BTCUSD -28
USDCAD 2
USDJPY 63
GBPUSD 8
ETHUSD -6
USDCHF -56
AUDUSD -9
GBPJPY -21
AUDJPY -15
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
Simbolo Profitto lordo, pips Perdita, pips Profitto, pips
EURUSD -1.4K
BTCUSD -257K
USDCAD 320
USDJPY 9.2K
GBPUSD 1K
ETHUSD -48K
USDCHF -4.1K
AUDUSD -810
GBPJPY -3.1K
AUDJPY -2K
250K 500K 750K 1M 1.3M 1.5M 1.8M 2M
250K 500K 750K 1M 1.3M 1.5M 1.8M 2M
250K 500K 750K 1M 1.3M 1.5M 1.8M 2M
  • Carico di deposito
  • Drawdown
Best Trade: +24.79 CAD
Worst Trade: -8 CAD
Vincite massime consecutive: 12
Massime perdite consecutive: 18
Massimo profitto consecutivo: +27.37 CAD
Massima perdita consecutiva: -68.67 CAD

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 "ICMarketsSC-MT5-3" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.

ICMarketsSC-MT5-3
0.43 × 7
FxPro-MT5
6.00 × 2
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V5 Institutional Triple-Bullet Matrix

Overview The V5 system is a fully automated, Python-driven algorithmic bridge built for MetaTrader 5 . Designed to operate across multiple asset classes (Major Forex pairs and high-liquidity Crypto), the algorithm utilizes a multi-timeframe matrix (D1, H4, M15) to detect exact market environments and shift its logic between momentum-based trend following and range-bound mean reversion .

The Triple-Bullet Execution System Every valid signal deployed by the scanner is executed as a synchronized "Triple-Bullet" cluster . This allows the algorithm to secure initial safety while keeping massive macro-trend upside open:

  • Bullet 1 (CashGrab): A high-probability, short-term target designed to bank immediate profit and establish a financial safety cushion .

  • Bullet 2 (Milestone): A mid-tier position utilizing a tight 1.5x ATR trailing stop to aggressively lock in core profit as the trend develops .

  • Bullet 3 (Runner): A decoupled macro bullet utilizing a wider 2.5x ATR trailing stop . This tier is intentionally designed to absorb natural mid-trend pullbacks, allowing the system to ride massive institutional extensions .

Advanced Risk & Capital Management

  • Micro-Staircase Trailing Armor: The exact moment the initial CashGrab target is hit, the algorithm rigidly locks the stop-losses of the remaining bullets to the profit floor, ensuring winning sequences are structurally insulated from sudden market reversals .

  • Dynamic Regime Filtration: The algorithm actively monitors EMA spreads and ATR volatility . It automatically suspends crypto execution (BTC/ETH) during low-volatility "ranging" environments to protect capital from erratic chop .

  • 6-Hour Financial Lockout: If a pair experiences a hard, negative stop-loss exit, the system initiates a strict 6-hour execution blackout for that specific asset, preventing knee-jerk re-entries and protecting account equity .

  • Sector Correlation Caps: The portfolio manager automatically prevents overexposure by capping trades within highly correlated baskets (e.g., JPY crosses or Crypto pairs) .

Subscriber Expectations This algorithm is built for mathematical compounding, not gambling . The system relies on dynamic lot scaling, meaning contract sizes automatically step up alongside account equity . Subscribers can expect tight loss mitigation during choppy consolidation months, followed by sharp equity growth during clean, trending market cycles where the "Runner" bullets are allowed to stretch their legs.

It is recommended to copy this signal on a hedge-enabled account with raw/low spreads to ensure the dynamic slippage armor and Micro-Staircase trailing stops execute precisely.


Non ci sono recensioni
2026.08.12 08:37
A large drawdown may occur on the account again
2026.07.30 10:34
Share of days for 80% of growth is too low
2026.07.27 23:00
80% of growth achieved within 1 days. This comprises 4.76% of days out of 21 days of the signal's entire lifetime.
2026.07.15 22:01
This is a newly opened account, and the trading results may be of random nature
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
30USD al mese
-42%
0
0
USD
136
CAD
8
99%
347
47%
97%
0.84
-0.29
CAD
56%
1:500
Copia