Volatility SignalCross
- Experts
- Neresh Damodhar
- 버전: 1.0
- 활성화: 5
⚠ IMPORTANT — READ BEFORE PURCHASE
SignalCross is a configuration-sensitive, hard-tuned asymmetric system.
All strategy parameters are pre-engineered and optimized to work together as a complete structure.
✔ Adjust LOT SIZE only to control risk.
Changing any other inputs (moving averages, stop-loss, take-profit, break-even levels, trend filters, etc.) will invalidate the Strategy Tester results and significantly alter system behavior.
If you modify strategy parameters, you are no longer running the advertised configuration.
Results shown are based on default settings.
Introductory launch price. Will increase after initial release period.
Volatility SignalCross — Asymmetric Multi-Entry Engine
Volatility SignalCross is a structurally engineered Expert Advisor designed specifically for Volatility 10.
Built on multi-timeframe alignment and asymmetric risk modeling, this system prioritizes directional precision over trade frequency.
Higher timeframe structure defines bias.
Lower timeframe execution delivers tight risk control.
This is not a scalper.
This is engineered trend participation.
🧠 Strategy Architecture — Multi-Timeframe Structural Alignment
SignalCross EA is built on a top-down market framework where higher-timeframe structure governs execution on lower timeframes.
The system operates in two distinct layers:
📈 Daily Timeframe — Directional Bias
The Daily chart establishes market bias using Moving Average structural alignment.
This layer is not used for entries.
Its sole purpose is to define dominant directional flow, filter low-probability setups, and prevent counter-trend exposure.
Trades are only permitted in alignment with Daily structure.
This significantly reduces random participation and keeps the system positioned with higher-timeframe momentum.
⏱ 2-Minute Timeframe — Precision Execution
Once Daily bias is confirmed, the EA executes on the 2-minute chart using a custom Moving Average configuration engineered to mirror Daily structure on a micro scale.
This is the core design concept.
Rather than chasing price or predicting reversals, SignalCross waits for:
• Structural alignment
• Micro pullbacks in Daily direction
• MA convergence reflecting higher-timeframe flow
This enables entries with tight stop placement while targeting Daily-level profit zones.
🎯 Risk Engineering
Stop Loss and Take Profit are structurally derived — never arbitrary.
• Stop Loss is calculated from lower-timeframe structure
• Take Profit is projected from higher-timeframe structure
The result is an intentionally asymmetric risk profile:
✔ Small controlled losses
✔ Larger directional winners
✔ Positive expectancy by design
Losing trades remain limited while winning trades are given room to expand.
📌 Important Note on Drawdown
Losses are part of the strategy.
Because stop losses are tight, sequences of SL are normal.
The EA does not average down.
It does not hold losing positions.
Each trade is independent.
Profitability comes from occasional large directional moves — not frequent small wins.
Patience is required.
📊 Market Maturity & Data Relevance
Volatility 10 Index was introduced around 2019 and initially represented a newly launched synthetic instrument.
Early historical data reflects an immature phase of the market where volatility calibration, execution behavior, and internal mechanics were still evolving.
Synthetic indices are software-generated instruments.
Unlike traditional markets, their behavior changes as platform models evolve.
Because of this, very old data does not accurately represent current trading conditions.
For this reason, SignalCross EA is evaluated using approximately the most recent 25 months of data, which reflects modern Volatility 10 behavior.
Earlier data is intentionally excluded as it represents legacy conditions that are no longer structurally aligned with the present market model.
This system is engineered for current Vol10 behavior — not its early-stage version.
Forward testing is strongly recommended.
🔧 Input Structure Overview
This EA is configuration-sensitive.
Default parameters represent the tested system logic.
✔ Only LOT SIZE should be adjusted.
Any modification of strategy parameters invalidates published backtests and is done entirely at the user’s discretion.
Risk Parameters
These control exposure only:
• Lot size
• Risk percentage (if enabled)
• Maximum trade limitations
Adjusting these does not alter the core structural logic of the strategy.
Stop Loss & Take Profit Mechanics
Stop Loss is derived from lower-timeframe structure.
Take Profit is projected from higher-timeframe structure.
When testing on other instruments, users must understand that point values differ significantly between synthetic indices, forex, crypto, and commodities.
📏 Understanding Points vs Pips
Different instruments use different point scales.
Before testing on any instrument:
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Open the chart
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Place a small manual trade
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Click and drag the Stop Loss
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Observe the MT5 tooltip
This instantly reveals:
• Distance in points
• Price movement
• Monetary impact
Always verify instrument scaling before optimizing parameters.
🚀 Quick Start (Recommended Setup)
1️⃣ Attach SignalCross EA to Volatility 10 Index on M2 timeframe
2️⃣ Leave all default inputs unchanged — adjust LOT SIZE only
3️⃣ Enable Algo Trading and allow the EA to manage entries automatically
That’s it. No optimization required.
This EA is designed for traders who understand directional trading and accept structured drawdowns.
It is not suitable for users expecting constant wins or zero-loss systems.
