TOL LANGIT ETF MT5 is a non-discretionary quantitative engine engineered for the XAUUSD (Gold) spot market. Moving beyond retail-grade heuristics, the system operates on a Systematic Asset Management Framework, prioritizing volatility-adjusted returns (Sharpe Ratio optimization) over speculative directional exposure.
This vehicle treats Gold as a managed fund, utilizing high-fidelity statistical modeling to exploit price-action anomalies. Engineered specifically for the Sophisticated Investor whose objective is long-term equity compounding through a proven statistical edge.
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VERIFIED LIVE SIGNALS
All signals verified via MQL5 Signal servers. Updated daily.
Disclosure: Live performance is verified via MQL5 Signal servers. Past performance is not an absolute indicator of future results. All trading involves substantial risk of loss.
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QUANTITATIVE CORE ARCHITECTURE
The system combines five quantitative indicators in a unified framework:
Macro-Regime Filter (EMA 100)
Establishes institutional trend bias and market structure orientation. Filters out sideways markets and confirms overall market direction.
Volatility Engine (ADX 14)
Measures trend intensity with minimum ADX threshold of 15.0 to filter sideways regimes. Prevents trading in low-volatility, non-trending environments.
Mean Reversion Z-Score (Bollinger Bands 20)
Identifies high-probability price stretches using Z-Score Level of 0.8 statistical trigger. Confirms overbought and oversold conditions.
Momentum Validation (RSI 14)
Confirms directional momentum and filters statistical noise. Validates buy and sell signals from other modules.
Dynamic Volatility Scaling (ATR)
Automatically normalizes Stop-Loss at 3.5x ATR and Take-Profit at 3.5x ATR based on market conditions. Adapts to changing Gold volatility regimes in real-time.
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ADVANCED RISK MANAGEMENT SYSTEM
The system incorporates multiple layers of capital protection:
Dynamic Position Sizing
Risk Per Trade is 5.0 percent of equity for geometric growth strategy. Position size adjusts based on account equity to maintain consistent risk exposure.
Execution Guard
Max Spread is 100.0 points to prevent entry during high-slippage events. Protects from poor execution during news and volatility spikes.
Profit Circuit Breaker
Daily Target is 30.0 percent. When daily profit target is reached, trading ceases automatically to lock in gains.
Capital Protector
Daily Loss Limit is 20.0 percent. Hard-stop mechanism to preserve equity during market anomalies and extreme events.
Over-Trading Filter
Max Trades is 4 per day. Limits exposure to high-probability setups only, preventing overtrading in choppy markets.
Session Control
Start Hour is 0, End Hour is 23. Trading window optimized for institutional liquidity cycles and peak trading hours.
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BACKTEST PERFORMANCE ANALYSIS
Based on USD 10,000 benchmark allocation. Analysis period: January 2025 through February 2026.
Total Net Profit: USD 48,325.65 (483 percent Net Growth)
Profit Factor: 1.88 (High efficiency in alpha generation)
Sharpe Ratio: 2.35 (Superior risk-adjusted return relative to volatility)
Recovery Factor: 3.22 (Strong capacity to regain equity peaks)
Max Equity Drawdown: 33.36 percent (Managed via systematic stop-loss protocols)
Relative Drawdown: 20.96 percent (Controlled exposure during market anomalies)
History Quality: 100.00 percent (Verified real-tick data with zero modeling errors)
Important Notice: Backtest results shown above are derived from historical data simulation and do not represent live trading results. Past performance is not an absolute indicator of future results. Live signal monitoring is available via the MQL5 Signals service.
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RECOMMENDED DEPLOYMENT
Initial Allocation
- Minimum: USD 1,000
- Standard (Institutional): USD 10,000 or more
Ongoing Strategy
- Monthly Top-Up: USD 1,000 recommended to maximize compounding effect
- Settings: Use default settings for initial 12-month investment cycle
Infrastructure
- VPS highly recommended for 24/5 uptime
- Low-latency connection essential for optimal execution
Management Approach
Treat as a managed fund (Gold ETF). Allow quantitative logic to work without manual intervention or discretionary changes.
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KEY FEATURES
Institutional-Grade Execution
FOK/IOC fill detection, slippage protection, and ECN/STP compatible execution.
Real-Time Volatility Adaptation
Automatic scaling of stop-loss and take-profit based on live ATR measurements.
Multi-Factor Confirmation
Combines EMA, ADX, RSI, Bollinger Bands, and ATR for robust entry validation.
Circuit Breaker Logic
Automatic equity protection against extreme market events and black swan scenarios.
Clean Algorithmic Logic
No Grid, No Martingale, No DLL dependencies. Pure mathematical approach to trading.
Unique Institutional ID
Magic Number 888111 for algorithmic order tracking and comprehensive audit trail.
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INSTALLATION AND SETUP
1. Download the EA to your MetaTrader 5 Experts folder
2. Restart MetaTrader 5
3. Test on XAUUSD H1 Demo account first with USD 1,000 initial allocation
4. Configure risk parameters: Risk Per Trade, Daily Loss Limit, Daily Target
5. Deploy on VPS with ECN/Raw Spread broker
6. Monitor for 2 or more weeks before scaling allocation
7. Add monthly top-ups to maximize compounding effect
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INVESTOR PROFILE
This system is Designed For:
- Sophisticated Investors with quantitative trading background
- Capital allocators seeking volatility-adjusted returns
- Disciplined traders willing to follow systematic execution
- Investors who understand leverage mechanics and drawdown cycles
- Those allocating risk capital only (funds you can afford to lose)
Not Recommended For:
- Beginners or retail traders without experience
- Investors who need manual intervention or discretion
- Those without understanding of algorithmic trading mechanics
- Capital that cannot afford significant temporary drawdowns
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RISK DISCLOSURE
IMPORTANT: Forex and commodity trading involves substantial risk of loss. Gold (XAUUSD) is characterized by extreme tail-risk and exogenous shocks including geopolitical events, central bank mandates, and macroeconomic shifts. No algorithmic model can guarantee future returns.
Critical Risk Factors:
- Past performance is not an absolute indicator of future results
- Leveraged nature magnifies both gains and losses
- All quantitative models undergo periods of equity contraction
- Use only VPS and ECN/Raw brokers to minimize slippage
- Allocate only risk capital (funds you can afford to lose)
- Max Equity Drawdown historically 33.36 percent - be prepared for significant drawdowns
- Circuit breakers may limit trades during volatile periods
- Market conditions change; historical patterns may not repeat
By deploying this Expert Advisor, you acknowledge you are a Sophisticated Investor who understands inherent risks of algorithmic trading.
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Get it FREE while you can! Will be increased to $100 very shortly after a few downloads!!
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The Max Hercules Strategy is a part of a cross asset market making strategy (Max Cronus) built by myself over years of analysis and strategy building. It takes multiple theories and calculations to trade the market in order to cov
Get it FREE while you can! Will be increased to $200 very shortly after a few downloads!!
Join my Discord and Telegram Channel - Max's Strategy For any assistance and help please send me a message here. https://t.me/Maxs_Strategy https://discord.gg/yysxRUJT  ;
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The Max Poseidon Strategy is a part of a cross ass
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Quantum King EA — あらゆるトレーダーのために洗練されたインテリジェントパワー
IMPORTANT! After the purchase please send me a private message to receive the installation manual and the setup instructions.
発売記念特別価格 ライブ信号: ここをクリック
MT4バージョン: こちらをクリック
クォンタムキングチャンネル: ここをクリック
***Quantum King MT5 を購入すると、Quantum StarMan を無料で入手できます!*** 詳細についてはプライベートでお問い合わせください!
正確さと規律をもって取引を管理します。
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LIMITED TIME OFFER AT 249$ Price will go up at 499$ on July 31st! Logan MT5 isn't your typical Gold Grid EA that blindly opens trade after trade, consuming your margin and putting your capital at unnecessary risk.
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よりスマートな制御。洗練された精度。
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割引価格
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