Sigit Pramono / プロファイル
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I’m simply a small independent trader who decided to take a chance on MQL5 by selling the EAs I develop and use myself.
I know that buying an EA from an independent seller requires trust. That is why I use the same EAs I sell on live accounts and share live signals with relatively small capital. It may not be a large account or an impressive amount of capital, but it is real — and I believe real experience is more meaningful than simply making promises.
My hope is that these live results can help reduce some of the uncertainty you may have and give you a clearer picture of how my EAs perform under real market conditions.
**Explore the products below, test them for yourself, and decide which approach fits you best.**
- Valtier Prime: A grid-based EA with 8 independent strategies, built for resilience, adaptability, and long-term account growth.
https://www.mql5.com/en/market/product/192558?source=Site+Profile+Seller
- Valtier Pulse: A breakout scalping EA with 2 distinct strategy modes and predefined SL/TP.
No grid, no averaging, no hedging, no martingale — built without high-risk recovery mechanisms.
https://www.mql5.com/en/market/product/193658?source=Site+Profile+Seller
>>> Your satisfaction is my happiness. Your trust is my motivation. <<<
Grid vs Non-Grid is a common debate among traders, as if one system must always be better than the other. In my view, both approaches have their own strengths and weaknesses.
Non-Grid systems have the advantage of limiting exposure. When a trade goes wrong, the loss is realized and the system moves on to look for the next opportunity. However, a long losing streak or a change in market conditions can gradually reduce previous profits and may require a longer recovery period.
Grid systems work differently. When price moves against an existing position, the system may add positions according to predefined rules and manage the basket as a whole. This can make the equity curve feel smoother because the system does not immediately realize a loss on every individual position.
However, the trade-off is increased floating exposure and potentially higher drawdown. This is why a grid system depends heavily on sufficient capital, controlled exposure, and disciplined risk management.
So, in my opinion, the real question is not:
“Grid or Non-Grid?”
It is:
“How well can the system manage risk when the market does not behave as expected?”
This is the philosophy behind Valtier Prime.
Valtier Prime is not designed to chase large profits in a short period of time. Its focus is on capital protection, controlled drawdown, and consistent growth.
In my own testing, when the risk level is properly matched to the account size, Valtier Prime has shown the characteristics I am looking for: capital growth while keeping drawdown under control.
As one example, a compounded test starting with $10,000 (Broker: IC Markets, Agresive: ON, Delay: 5ms), from January 2026 to September 12, 2026 produced approximately:
Low Risk: around $9,832 profit nearly 100% growth, with approximately 5.77% DD
Medium Risk: More than 200% growth, with approximately 9.21% DD
(These figures are based on my own backtesting and are not a guarantee of future results. Actual performance can vary depending on market conditions, broker, spreads, execution, and risk settings.)
For me, achieving around 5–10% per month with controlled drawdown is already a very reasonable objective.
If the goal is to generate a larger nominal return, I would personally prefer to increase the capital rather than aggressively increase the risk.
For example, if a system is designed to operate with controlled risk, increasing the account size can increase the potential nominal return without necessarily requiring a higher risk level.
I have also tested Valtier Prime under more extreme conditions. When the risk level is properly matched to the account size and used with discipline, the system has demonstrated the ability to remain within a manageable drawdown range across the conditions I tested.
That is why Valtier Prime is not designed for traders looking to “get rich quickly.”
It is designed for those who understand that in trading:
Survival comes before aggressive growth.
Consistency matters more than chasing extreme returns.
And risk management matters more than simply looking at the win rate.
I also encourage potential users to test the EA themselves with an appropriate account size and risk level before using it on a live account.
If the backtest produces a drawdown significantly higher than expected, don't simply increase the risk. Instead, review the broker, trading conditions, parameters, and market characteristics first.
Because ultimately, the purpose of a trading system is not simply to generate profit.
It is to survive long enough to keep growing.
Valtier Pulse allows you to run two trading modes simultaneously by attaching the EA to different charts and assigning a different Magic Number to each instance.
This allows Mode 1 and Mode 2 to operate independently while running on the same account, giving you the flexibility to combine both trading approaches in a single account.
Backtest Example:
January 1, 2026 – September 8, 2026
Initial Deposit: $100
Mode 1 Risk: 2%
Mode 2 Risk: 2%
Combined Net Profit: $13,713.98
Combined Equity Drawdown Relative: 9.11%
Profit Factor: 5.12
Total Trades: 450
Results shown are based on historical backtesting. Past performance is not indicative of future results.
For more detailed information and product specifications, please visit the product page:
https://www.mql5.com/en/market/product/193658?source=Site+Profile+Seller
Live Signal:
https://www.mql5.com/en/signals/2388875?source=Site+Signals+My
The new Aggressive Mode brings a substantial performance enhancement to Valtier Prime.
Backtest period: January 2025 – September 5, 2026
Initial Deposit: $1,000
In our backtest comparison, Net Profit increased by 81.8%, from $42,078 to $76,506, while the Profit Factor remained above 4.0 and Equity Drawdown remained at a similar level.
Experience the enhanced performance of Valtier Prime V1.3 with Aggressive Mode.
For more detailed information and product specifications, please visit the product page:
https://www.mql5.com/en/market/product/192558?source=Site+Profile+Seller
MT5 EA モニタリングダッシュボード MetaTrader 5 で複数の Expert Advisors を運用するトレーダー向けの、シンプルで軽量なモニタリングダッシュボードです。 同じ口座で複数の EA を運用している場合、それぞれのストラテジーのパフォーマンスを把握するのは不便になることがあります。 EA Monitoring Dashboard は、MT5 チャート上にコンパクトな概要を表示し、1つのダッシュボードから複数の EA のパフォーマンスを確認できます。 主な機能 1つのダッシュボードで 最大20個の EA を監視 Magic Number によって各 EA を識別 各 EA の 個別 Profit/Loss を表示 設定した Initial Balance に基づく Growth (%) を表示 監視対象となるすべての EA の Total Profit を表示 監視対象となるすべての EA の Total Growth (%) を表示 Profit、Swap、Commission を自動的に計算に含める 毎秒自動的にダッシュボードを更新
- Enhanced Performance for Mode 1 — improved overall trading performance and system efficiency.
- Enhanced Performance for Mode 2 — improved overall trading performance and system efficiency.
For more detailed information and product specifications, please visit the product page:
https://www.mql5.com/en/market/product/193658?source=Site+Profile
Valtier Pulse — 市場のパルスを捉える。 Valtier Pulseは、高ボラティリティの市場環境に特化して設計された自動取引システムであり、動的な価格変動に対して、精度、一貫性、そして制御された執行で対応できるように構築されています。 特別ローンチ価格:$125。次の価格は$249 リアル口座シグナル Key Features 完全自動取引 — エントリーから取引管理まで、手動操作なしで運用できます。 Pending Stop Entries — 検出された市場状況に基づいて、Buy StopまたはSell Stopの設定を自動的に実行します。 複数の取引モード — Mode 1、Mode 2、Customなど、複数の事前定義された取引プロファイルを搭載しています。 柔軟なリスク管理 — 選択したリスク率に基づく自動ロットサイズ設定、または固定ロットサイズに対応しています。 Pending Without SL/TP —
Valtier Prime MT5 Valtier Primeは、XAUUSD専用に設計されたプロフェッショナルな自動取引システムであり、複数の取引戦略と統合された取引・リスク管理を組み合わせています。グリッドベースのシステムとして、Primeは積極的な短期リターンではなく、資本保護、リスク管理、規律ある取引、そして持続可能な長期的成長に重点を置いています。 特別価格:$125。10件売れるごとに価格が$125ずつ上がります。最終価格:$999。 KEY FEATURES マルチ戦略トレーディングシステム 自動取引・ポジション管理 統合リスク管理 各戦略のための管理されたグリッドシステム ドローダウン保護 FOMC & NFP トレーディングフィルター 多層ニュース保護 自動ポジションサイジング アグレッシブモード — 追加のドローダウンを比較的管理された範囲に維持しながら、利益の可能性を大幅に高めるよう設計されています。 RECOMMENDED SETUP Symbol: XAUUSD Timeframe: M5 推奨 最低残高要件は、選択したリスクレベルによって異なります:


