Adaptive Liquity Pro

  • エキスパート
  • Melikhaya Dinga
    Melikhaya Dinga
    MQL5 developer specializing in multi-strategy Expert Advisors and custom indicators for MetaTrader 5. My work includes combined breakout/reversal systems with multi-timeframe trend confirmation (M-timeframe + H1 + D1), adaptive volatility-based risk sizing (ADR/ATR-based), and full prop-firm
  • バージョン: 1.0
  • アクティベーション: 5

ADAPTIVE LIQUIDITY PRO EA — Dual-Strategy Breakout System with Liquidity Memory

A breakout and fake-breakout hybrid EA built around previous-day high/low structure, with an adaptive trend filter and a liquidity-memory system designed to stop repeated stop-outs at the same level during ranging conditions.

Overview

HYBRID Breakout EA trades two complementary strategies on the same chart: a classic breakout system armed against the previous day's high and low, and a fake-breakout / mean-reversion system that fades failed breakouts back toward the 50-period EMA. Both strategies share risk management, daily controls, and a common trend filter, so they work together rather than fighting each other.

What sets this EA apart from a typical PDH/PDL breakout bot is that it doesn't treat every day as a blank slate. It remembers how the market has behaved at specific price levels over time, and adjusts its own confidence in a level accordingly — rather than mechanically re-arming the same trade at the same price day after day.

Key Features

Liquidity Memory System (unique to this EA)
Most breakout EAs treat every new day's high/low as a fresh signal. This one tracks how many times each price zone has been attacked without producing a genuine expansion. A level that gets swept and stopped out repeatedly — the classic accumulation/ranging pattern where price spikes through a level, triggers a breakout entry, and immediately reverses — gets progressively less trust. After a configurable number of failed attempts, the EA stops trading that zone entirely until price genuinely breaks through and establishes a new, untested high or low. This directly targets the repeated-stop-out problem that most momentum-indicator-based filters can't solve, because it's addressing market structure rather than indicator readings.


Adaptive RSI Directional Filter
When RSI reaches an extreme, the EA switches to a 50-EMA-only trend read and restricts trading to the direction consistent with mean reversion (blocking buys after overbought, blocking sells after oversold). This directional bias holds for a full trading day and automatically extends if the market hasn't yet shown any real reaction — so it won't drop its guard back into a fresh entry right into the same exhausted extreme.


Profit Recycling Engine
Once a trade reaches break-even, the EA can open a second ("follower") position at the same stop/target while the original runs risk-free — letting winners compound within a single move without adding fresh downside risk to the account. A configurable equity-vs-balance check keeps recycling from stacking further after a losing stretch.


Full Prop-Firm Rule Suite
Built-in daily loss limits, maximum overall drawdown limits, daily and overall profit targets, and a consistency protector that scales lot size and take-profit to keep daily gains within a prop firm's allowed percentage of the total target — so the EA can be run on evaluation and funded accounts without manual oversight.


Dynamic & Fixed Risk Modes
Choose between ADR-based dynamic position sizing and SL/TP distances, or a fixed risk:reward ratio mode — both fully configurable.


Exhaustion Filter, Stale-Trade Closure & Spike-Recovery Logic
Additional layers to avoid chasing moves that have already run too far for the day, automatically close trades that have sat too long without progress, and intelligently re-arm after certain fakeout/spike scenarios.


 Full Diagnostic Logging

Every decision the EA makes — why an order was or wasn't placed, which filter blocked it, when a liquidity zone gets blacklisted — is written to the Experts/Journal log, so you're never guessing why a trade did or didn't happen.

How It Works

  1. Each day, the EA identifies the previous day's high and low as breakout reference levels.
  2. Pending stop orders are armed with a dynamic entry buffer once trend, RSI, and liquidity-memory conditions all align.
  3. Trades are managed with break-even, trailing stops, and an EMA-based dynamic exit.
  4. Winning trades can trigger a risk-free follower entry via the recycling engine.
  5. All entries and exits are logged for full transparency.

Recommended Use

  • Timeframe: H1 (designed and tested around hourly bars; other timeframes require re-tuning)
  • Symbols: extensively tested on GOLD, SILVER,USD/CAD,GBPUSD,GBPAUD & NZDUSD
  • Account type: Works standalone or as a prop-firm evaluation/funded-account tool via the built-in rule suite
  • VPS: Recommended for consistent execution, since pending-order management runs continuously

Inputs

Fully configurable across ~15 input groups covering money management, trend filtering, entry buffers, trade management, trading hours, the Liquidity Memory System, the Profit Recycling Engine, and prop-firm rules — so the EA can be tuned to a specific instrument, account size, or trading style rather than run purely on defaults.

Risk Disclosure

Forex and CFD trading carries a high level of risk and may not be suitable for all investors. Past performance, including any back-tested results, is not indicative of future results. Always test thoroughly on a demo account before committing real capital, and never risk money you cannot afford to lose.

Support

Questions, setup help, or feature requests — message me directly through the MQL5 product page.




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