Nasdaq Initial Balance Quant
- Experts
- Juan Andres Munoz Zapata
- 버전: 2.1
- 활성화: 5
Overview NASDAQ NY Initial Balance Quant is not a curve-fitted "Holy Grail", but a realistic, mathematically sound quantitative model designed for long-term survivability and Prop Firm evaluations.
Engineered strictly for the unique volatility and liquidity profile of the NASDAQ (NAS100 / US100), this algorithm exploits the institutional momentum generated during the New York Open (Initial Balance). Instead of relying on static, rigid pip-based targets that fail during market regime shifts, it uses dynamic volatility modeling (ADR) to project realistic Take Profits and filter out exhaustion setups.
Why this algorithm? The MQL5 market is flooded with toxic money management systems (Martingale, Grids) that hide risk until they blow your account. This system relies on genuine market micro-structure (Alpha). It uses a strict Stop Loss on every single trade and never averages down losers.
Verified Backtest Metrics (2021-2025):
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Target Asset: NASDAQ (Strictly optimized for this index).
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Trading Style: Intraday Breakout (Day Trading).
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Maximum Drawdown: < 6.5% (Extremely safe for FTMO, FundedNext, TopStep, etc.).
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Profit Factor: 1.36 (Statistically robust, asymmetrical risk-to-reward).
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Sharpe Ratio: 2.00+
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Recovery Factor: 8.31 (Fast recovery from standard drawdowns).
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Win Rate: ~57% with a balanced average Win/Loss ratio.
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Trade Frequency: ~720 trades over 4 years (High statistical significance).
Core Logic & Architecture:
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Initial Balance (IB) Detection: The EA isolates the consolidation range formed just before the high-volume New York session opens.
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Directional Filter (SMA): It evaluates the macro-trend to align the IB breakouts with the dominant order flow (Long-only or Short-only).
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Volatility Exhaustion Filter (ADR): The algorithm measures the Average Daily Range over the last 'X' days. Crucial feature: If the NASDAQ has already consumed its average daily movement before the breakout occurs, the EA cancels the trade to protect capital from false breakouts and low-probability setups.
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Dynamic Trade Management: Incorporates an advanced Trailing Stop that triggers only after a specific Risk:Reward multiple is reached, securing profits in high-momentum conditions.
Technical Features:
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❌ NO Martingale, NO Grid, NO HFT, NO Arbitrage.
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✅ Strict Stop Loss and Take Profit attached to every position.
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✅ Advanced Volatility/ADR filtering.
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✅ Prop-Firm Ready: Built-in strict risk controls.
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✅ Fully customizable parameters (Time sessions, SMA periods, ADR multipliers).
Setup Recommendations & Requirements:
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Symbol: NAS100 / US100 / USTEC / NDX (NASDAQ explicitly).
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Timeframe: M1(Mandatory Timeframe!).
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Broker: Pepperstone/Tradequo(Standard or Limitless)
