QHyper 9
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QUANTUM HYPER 9 — Professional 9-Strategy SMC Expert Advisor for MT5
Overview
Quantum Hyper 9 is a professional Expert Advisor built on nine independently configurable Smart Money Concept and technical analysis strategies. Each strategy can be switched ON or OFF directly from the settings panel — no code editing required. The EA is designed for serious traders running funded accounts, prop firm challenges, and live portfolios across Forex, metals, and indices.
Every component is built with one principle in mind: no single trade, bad zone, or oversized stop-loss can damage your account. Two hard safety caps — a maximum SL distance in pips and a maximum risk percentage per trade — work together to ensure the EA always trades within your defined limits, regardless of how large a supply or demand zone appears on the chart.
The Nine Strategies
S1 — Rally-Base-Drop / Drop-Base-Rally (Supply & Demand) Identifies high-probability supply and demand zones from confirmed swing highs and lows. Enters only when price returns into the zone with a momentum candle showing institutional rejection. Both bearish supply and bullish demand zones are scanned simultaneously.
S2 — SMC Base Setup (Liquidity + ChoCH + Order Block + FVG) Detects liquidity grabs above swing highs or below swing lows followed by a confirmed Change of Character candle. Entries are placed at identified Order Blocks or Fair Value Gaps left by the institutional move.
S3 — Dragonfly & Gravestone Doji Reversal Detects textbook Dragonfly Doji candles — tiny body at the top with a very long lower shadow indicating strong bullish rejection — and Gravestone Doji candles for bearish reversals. Confirmed by trend context and ATR-based wick quality filter. Fully tester-safe: no multi-timeframe CopyXxx calls.
S4 — Perfect Pullback (Double Top / Double Bottom + Stochastic) Searches for Double Top and Double Bottom formations using proper swing detection. Validates each pattern with Stochastic RSI overbought or oversold readings and confirms the neckline break before entering. Catches high-probability mean-reversion setups.
S5 — BOS + IDM + Order Block Break of Structure confirmed, followed by an Inducement sweep of the Order Block that traps retail traders. Enters on the retest of the valid Order Block after the inducement, aligning with the true institutional direction.
S6 — ChoCH + Buyers/Sellers Trap + FVG Monitors for Change of Character breakouts from existing downtrends and uptrends. Waits for a pullback into a Fair Value Gap or a retest of the ChoCH level with a confirming candle before entering.
S7 — AMD (Accumulation · Manipulation · Distribution) Identifies tight accumulation ranges under 2.5× ATR, then detects the manipulation sweep of range highs or lows. Enters in the direction of the true institutional distribution move, optionally confirmed by a Fair Value Gap.
S8 — Technical Analysis (Support/Resistance Breakout & Retest) Classic S/R breakout logic enhanced with Higher Lows compression detection, breakout body confirmation, failed breakout (liquidity grab) signals, and clean retest entries. Works equally well as a standalone strategy.
S9 — Liquidity + FVG + Mitigation Block Identifies BSL and SSL liquidity levels, waits for a confirmed raid, then enters the reversal when price reaches a Fair Value Gap or Mitigation Block left behind by the sweep — the core ICT concept executed cleanly.
Risk Management — 4 Modes
All four modes calculate lot size relative to the actual SL distance of each trade:
- Fixed Lot — constant user-defined lot size for full manual control
- Balance % — risks a set percentage of account balance per trade
- Equity % — risks a set percentage of live floating equity per trade
- Fixed Money ($) — risks a fixed dollar amount per trade regardless of account size
Account Protection Features
- Max SL Distance (pips) — any trade where the zone or signal would place a stop-loss further than this limit is silently skipped. Essential for XAUUSD and index daily charts where supply/demand zones can be 80–150+ pips away from entry
- Max Risk Per Trade (%) — a hard cap applied after lot calculation. No matter which risk mode is selected, no single trade can ever risk more than this percentage of balance
- Margin check before every order — uses OrderCalcMargin() to verify sufficient free margin before placing any trade
- Equity safety guard — OnTick begins with an equity and free margin check; if either is zero or negative all strategies pause that tick
- Spread filter — configurable maximum spread in pips; strategies skip if market spread exceeds the threshold
- One entry per bar — optional lock prevents multiple strategy signals stacking on the same candle
Live Dashboard Panel
A real-time information panel displays on the upper-left of the chart showing:
- Account section: Balance, Equity, Open P&L, Free Margin
- Market Statistics: Symbol, Timeframe, Spread, ATR, Volume, Trend Bias
- EA Statistics: Total Trades, Win/Loss, Win Rate, Profit Factor, Gross Profit, Gross Loss, Net Profit, Running Time
- Risk Management: Active mode, risk value, SL and R:R settings, Max SL cap, Max Risk cap
- Client Statistics: Account number, Broker, Server, Currency
- Strategies Status: All 9 strategies displayed with ON/OFF status and live signal count
- Footer Watermark: EA name, broker, pair, and current timeframe
No floating elements — the watermark is embedded inside the panel so nothing overlaps your chart.
Compatibility
- Platform: MetaTrader 5 only
- Account types: Netting and Hedging
- Instruments: Forex pairs, Gold (XAUUSD), Silver, Indices, and most CFDs
- Recommended timeframes: M15, H1, H4, D1
- Minimum recommended balance: $100 (demo testing recommended before live deployment)
Recommended Settings
EURUSD / GBPUSD on H1–H4: Start with S1 only. SL 20 pips, Max SL 100 pips, R:R 2.0, 1% balance risk.
XAUUSD on H1–D1: Use S1, S3, or S9. Set Max SL to 80–120 pips. Max Risk 1–2%. Spread filter 3.0 pips.
Prop Firm Challenges: Fixed Lot or Balance 0.5%. Break-Even at 10 pips. Max Risk 1.5%. Max SL 80 pips. One strategy active at a time.
Combining Strategies: S1 + S3 is a strong starting combination. Running 2–3 strategies simultaneously is optimal — avoid enabling all 9 at once.
Important Notice
Past backtested performance does not guarantee future results. Trading financial instruments involves substantial risk of loss and may not be suitable for all investors. Always test on a demo account before deploying on live capital.
