Veteran Army Gold

  • Experts
  • Seckin Erkut
    Seckin Erkut
    Algo Trading Systems Developer. I develop strategies and portfolios not by hypes but from solid academic literature.

    I put my money where my mouth is, be sure to check the performance of my EAs through my signals.
  • 버전: 1.13
  • 업데이트됨: 3 8월 2026
  • 활성화: 10

Start with the loss, not the profit. First decide how deep a drawdown you are willing to sit through — and then let the system go after returns inside that limit. That is the order Veteran Army Gold works in. And because gold does not move the way currencies move, it works the market one price level at a time, buying and selling, instead of betting the account on a single idea.

The same discipline behind Veteran Army FX, applied to a single market that behaves like nothing else.

At a glance

  • Market: XAUUSD only, traded on the H1 and H4 timeframes.
  • Account: hedging required. The minimum balance depends on the preset you choose and on your broker's minimum lot size — see below.
  • Risk: you pick the preset. Expected maximum drawdown 10-15% (Conservative), 20-25% (Moderate) or 35-40% (Aggressive).
  • Trades: both directions, around 100 per month on average, held from hours to several days, always with a fixed stop.
  • Setup: one file, attach it to any chart, nothing to tune.


Are you tired of unexpected losses?

You choose your maximum drawdown up front. Conservative, Moderate and Aggressive place the same trades and differ only in position size; each comes with a drawdown range from Monte Carlo stress testing, and the screenshots in the gallery show the result of every profile. Nothing about the risk is left for you to find out the hard way.

Does gold move too fast to trade safely?

Speed is only dangerous when you are guessing. This portfolio never holds an opinion about where gold is going — it waits at levels the market itself has already drawn and requires volatility to confirm the move before anything is placed. Every trade carries a fixed stop from the second it opens, with a size set by that strategy's own tested worst case, not by a flat percentage. A violent day is not a threat to a position that was sized for one. There is no grid, no martingale and no averaging down anywhere in it.

Do costs eat the edge?

Gold is expensive to hold, and most systems that trade it lose money every night without noticing. The spread is wide, commission is real, and the overnight swap is heavily one-sided — holding a buy position costs several times what holding a sell position pays. A model that ignores this looks profitable on paper and is not. Every figure on this page was produced with commission and the real, one-sided swap already charged, and positions are held for real moves rather than for the sake of being in the market.

So here is Veteran Army Gold. It starts from the loss and works backwards. It does not forecast; it covers ground. No hero trade, no rescue grid, no single point of failure.

Think of it as a special unit rather than a soldier. Every member is trained for one job on one market, and it does that job only when the conditions it was trained for are actually present. Some are built to move with a trend already underway. Others hold back and take the pullback inside that move. Each carries a fixed stop from the moment it engages, and standing orders to stay out when the market offers nothing: in a flat market its entry level is simply never reached, so the account stays light instead of manufacturing trades. Engage on the objective, or don't engage at all.

The models work from price structure: entries sit at reference levels the market itself creates — previous daily, weekly and monthly extremes, session highs and lows, recent range boundaries, volume-weighted levels — and are only taken when volatility confirms the move. A position is closed when its stop is hit, when its target is reached, when the conditions behind it disappear, or when a set number of bars has passed without the expected move. Twenty years of gold price history stand behind the models — the 2008 crisis, the 2011 peak, the 2013 collapse, the 2020 spike and the advance that followed.

Many small, weakly related positions beat one large confident one for a reason that predates all of us: the diversification effect at the heart of Modern Portfolio Theory. Bad patches that rarely overlap add up to much less damage than they would alone. Here that spread is built across entry rules, holding time and direction rather than across markets, because there is only one market. The edge is meant to come from breadth, never from leverage.

One file, self-contained. No DLLs, no indicators to install, no settings to tune. Attach it to any chart and the portfolio runs.


Live verification signal. A real-money account running this EA is published for verification. It exists to be looked at, not copied. Note that it deliberately runs the most extreme configuration the EA allows — the Aggressive preset with ReferenceCapital lowered to match a small deposit, roughly four times the risk of the Aggressive profile described below. It is a stress test, not the recommended setup, and its drawdowns will be far deeper than the ranges in this page.


https://www.mql5.com/en/signals/2384638   (Start Date 04 August 2026)


Account type: a hedging account is required.

Market Watch: XAUUSD must be visible (broker suffixes are detected automatically).

Risk presets

One input selects the risk profile. Lot sizes per strategy are pre-calibrated for each preset — nothing else needs to be tuned.

Preset Character Intended user
Conservative (default) Lowest position sizes, calibrated for shallow portfolio drawdowns Larger accounts, capital preservation focus
Moderate Mid-level sizing Balanced accounts
Aggressive Largest sizing, materially deeper drawdowns must be expected Smaller accounts, high risk tolerance

Approximate risk and return profile per preset. Return figures are derived from the backtest; drawdown ranges come from Monte Carlo stress testing of the portfolio at a two-year horizon, which gives a more conservative and more realistic estimate than any single backtest path:

Preset Historical CAGR (backtest) Expected max drawdown (Monte Carlo, 2-year)
Conservative about 23% per year 10-15%
Moderate about 44% per year 20-25%
Aggressive about 79% per year 35-40%

Read these numbers with care. All figures are simulated, not live, results, and future drawdowns can exceed the Monte Carlo ranges. The return column assumes that profits are never withdrawn and are always reinvested, which no real account does. Do not choose Moderate unless a 25% drawdown would be acceptable to you, and do not choose Aggressive unless a 40% drawdown would be acceptable. Past performance does not guarantee future results.

Minimum account size

Recommended minimum account, to stay within the tested drawdown ranges given brokers' minimum lot requirements: 

Aggressive: 10 000 USD

Moderate: 15 000 USD

Conservative: 20 000 USD

Backtest summary (labeled, not live results)

MT5 Strategy Tester, "Every tick based on real ticks" modeling, real broker data with commission and the real one-sided swap. Each preset run appears in the gallery screenshots. The strategies themselves were built and validated on price history back to 2006; the tested window shown here is the more recent one, chosen on purpose.

These runs used one regulated broker's historical feed, commissions and swaps. Spreads, commissions, swap rates and server time differ between brokers and shift individual fills, so expect different figures elsewhere — which is why the live signal above exists.

Single-path backtest drawdowns understate risk: the Monte Carlo range for each profile is the planning number. In live use, withdraw profits periodically instead of compounding indefinitely. Past performance, simulated or real, does not guarantee future results.

To try the demo quickly, run the Strategy Tester with "1 minute OHLC" modeling — enough to see the portfolio place and manage trades, without downloading full tick data. It is a functional check, not a reproduction of the figures above.

Inputs, in the order they appear

Risk

  • RiskPreset (default: Conservative) — selects the sizing table: Conservative, Moderate or Aggressive. This is the only input most users should ever change.
  • ReferenceCapital (default: 20000) — the balance at which the published lot tables apply. Position sizes scale proportionally with Balance divided by ReferenceCapital. Leave at 20000 unless you deliberately want to re-anchor the sizing.

Execution

  • MagicNumber (default: 18812066) — identifies this EA's orders on the account. Change it only if another EA on the same account happens to use the same number.
  • SlippagePoints (default: 100) — maximum allowed price deviation for market executions, in points.
  • MaxOpenPositions (default: 0 = unlimited) — optional hard cap on the number of simultaneously open positions across the whole portfolio. In twenty years of testing the portfolio never exceeded 26 concurrent positions, so the cap is off by default.

Stop Loss

  • UseHiddenStopLoss (default: false) — keeps the working stop inside the EA instead of placing it at the broker. An emergency broker-side stop is still placed further away for protection.
  • HardStopMultiplier (default: 1.5) — distance multiplier for that emergency broker-side stop. Used only when the hidden stop mode is on.

Symbols

  • SymbolPrefix / SymbolSuffix (default: empty) — broker symbol naming adjustments. Both are auto-detected when left empty; fill them only if your broker uses unusual symbol names and auto-detection fails.

Advanced

  • TimeOffsetHours (default: 0) — manual correction, in hours, added to broker time to match the GMT+2/GMT+3 New York-close convention the strategies assume. Leave at 0 for standard brokers.
  • LogLevel (default: Trade) — journal verbosity. Trade logs order events; higher levels exist for troubleshooting.

Everything except RiskPreset is designed to be left at its default value.

Setup

  1. Attach the EA to any single chart (symbol and timeframe do not matter).
  2. Make sure XAUUSD is visible in Market Watch. Broker symbol suffixes (for example XAUUSD.m) are detected automatically.
  3. Allow algorithmic trading and keep the terminal running — a VPS is recommended for 24/5 operation.
  4. Choose your RiskPreset. Everything else can stay at defaults.

Launch pricing

The launch price is 899 USD. The price increases by 300 USD after every 10 copies sold, and it is never discounted — early buyers always keep the best price. If you want to evaluate the EA on a live account first, renting is available as a lower-cost option.

Ongoing stewardship

I run this portfolio on my own capital and continuously compare the live signal against the backtest's statistical expectations — using pre-defined bands, not month-to-month feelings. Maintenance updates (broker compatibility, execution improvements) are delivered through the Market's update mechanism and announced in the Comments section. What I will not do is quietly reoptimize the strategies after a normal losing stretch — that is exactly how curve-fitted products die. If live behaviour ever falls outside the pre-defined bands, I will say so openly in the Comments section and act on it transparently, with clear version notes.

Honest expectations

This is a wide portfolio on a single instrument. There will be losing weeks and losing months; the backtest itself contains them.

One characteristic is worth stating plainly, because you will meet it eventually. Every strategy here needs gold to move. When gold stops moving and price only drifts slowly, the whole portfolio goes quiet at the same time. Spreading risk across many strategies cannot remove a dependence they all share on the same market. In the twenty-year test, 2018 was exactly that year: the system traded normally all year and finished essentially flat. It did not blow up, and its drawdown that year was ordinary; it simply could not find anything to take. Expect a year like that from time to time, and judge the system over a full cycle rather than a quiet one.

No profitability is guaranteed. Do not trade with money you cannot afford to lose, and start on a demo account if you are new to automated trading.

Support is provided through the product Comments section and mql5.com messages.

The Veteran Army family

Veteran Army FX 13 currency pairs, H4 https://www.mql5.com/en/market/product/187339
Veteran Army Gold One market, XAUUSD This Product
Veteran Army Nasdaq One market, Nasdaq https://www.mql5.com/en/market/product/192581
All share the same risk framework: you set the drawdown budget, the portfolio is sized to fit it.


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Lo Thi Mai Loan
4.38 (13)
EA Gold Blitz   – 안전하고 효과적인 금 거래 솔루션   출시 프로모션  현재 가격으로 남은 1개만 판매!  최종 가격: $1999.99 안녕하세요! 저는 EA Gold Blitz   , Diamond Forex Group 가족의 두 번째 EA로, 금(XAU/USD) 거래를 위해 특별히 설계되었습니다. 뛰어난 기능과 안전 우선 접근 방식을 통해 트레이더들에게 지속 가능하고 효과적인 금 거래 경험을 제공합니다.   EA Gold Blitz   의 특징   - 동적 스톱로스(SL): EA는 최근 캔들의 가격 범위에 기반한 스톱로스를 사용합니다. 이를 통해 SL이 시장 상황에 유연하게 적응하고 시장 변화에 따라 계좌를 더 효과적으로 보호할 수 있습니다.   - 다양한 거래 전략: EA는 3개의 거래 전략을 탑재하고 있으며, 각 전략은 최대 3개의 거래를 동시에 열 수 있어 총 9개의 거래를 동시에 실행할 수 있습니다.   - 유연한 트레일링 스톱: 이익을 고정하는
Super Tenet
Cence Jk Oizeijoozzisa
5 (1)
Super Tenet는 금 시장에서 안정적인 자동 실행을 선호하는 트레이더를 위해 개발된 강력하고 지능적으로 설계된 전문가 어드바이저입니다. M1 시간 프레임의 XAUUSD를 위해 특별히 구축된 이 시스템은 빠른 반응 속도와 고급 내부 거래 관리 및 적응형 시장 행동을 결합합니다. EA는 다양한 브로커 및 거래 환경에서 원활하게 작동하도록 최적화되었습니다. ECN, Standard, Raw Spread 또는 저지연 실행 계정을 사용하든 Super Tenet은 호환성과 안정적인 작동을 위해 설계되었습니다. 이 EA는 인내와 장기적 일관성의 가치를 이해하는 트레이더를 위해 만들어졌습니다. 몇 분마다 차트를 확인하는 대신 VPS 서버에서 시스템이 지속적으로 작동하도록 하고 알고리즘이 시장 상황을 단계별로 관리하도록 하십시오. 때로는 간섭을 멈출 때 최상의 결과가 나타납니다. 안정적인 24/7 VPS에서 EA를 실행하고 감정적 중단을 피하십시오. 규칙적인 실행 한 달 후에는 완전히 다른 관
MY BIRTHDAY GIFT — ENDS 30 SEPTEMBER 2026 Want Knight? Buy Saga for 399 USD. First 10 Saga buyers get Knight (1,099 USD) FREE — and Hunter (599 USD) FREE too. Knight bought on its own does not include the birthday gifts. First 10: Saga + Hunter + Knight — 2,097 USD at current Market prices for 399 USD. Gift builds are account-locked, valid for 12 months, and may be registered to up to 2 trading accounts per gift. Get the birthday offer on the Saga page: https://www.mql5.com/en/market/product/194
Strong mt5
Andriy Sydoruk
2 (1)
Strong: A Powerful Forex Bot for Multi-Currency Trading Strong is an automated tool for trading on the Forex market, utilizing modern technologies and algorithms. It is designed for traders who aim to improve the efficiency of their trading and reduce risks in a constantly changing market. Key Features of Strong Multi-Profile Trading: Strong supports a wide range of currency pairs, including both major and exotic assets. This allows traders to diversify their portfolios and adapt strategies to
Syna
William Brandon Autry
4.87 (30)
Syna 7 - 거래와 끝까지 함께하는 AI 대부분의 트레이딩 시스템은 진입한 뒤 생각을 멈춥니다. Syna는 그렇지 않습니다. Syna 7은 분석부터 청산까지 계속 관여하도록 만들어진 AI 트레이딩 어시스턴트이자 자율 트레이딩 시스템입니다. 현재 상황을 모니터링하고, 거래의 맥락을 기억하며, 뉴스와 변동성을 평가하고, 포지션을 관리하고, 계좌를 조율하며, 주문이 체결된 뒤에도 판단을 계속 재검토할 수 있습니다. 거래는 진입에서 끝나지 않습니다. 지능도 마찬가지여야 합니다. 분석에서 청산까지, 끊기지 않는 하나의 지능. 채널 및 커뮤니티 업데이트, 시그널, 출시 소식, 제품 시연은 채널에서 확인하세요. 공개 그룹에 참여하면 질문을 하고 다른 트레이더와 이야기할 수 있습니다. 내 MQL5 채널 팔로우 내 MQL5 공개 그룹 참여 Syna란 무엇인가 Syna는 트레이딩 운영 전반의 지능 계층으로 작동하도록 설계되었습니다. 다음과 함께 작동할 수 있습니다. Syna 자체의 자율 트레이딩
Waka Waka EA MT5
Valeriia Mishchenko
4.13 (40)
8+ years of live track record with +12,000% account growth: Live performance MT 4 version can be found here Waka Waka is the advanced grid system which already works on real accounts for years. Instead of fitting the system to reflect historical data (like most people do) it was designed to exploit existing market inefficiencies. Therefore it is not a simple "hit and miss" system which only survives by using grid. Instead it uses real market mechanics to its advantage to make profit Supported cu
Gold Hedge Pro v11 더 나은 테스트 결과를 얻으려면 Gold Hedge Pro v11을 3~6개월 동안 실행하는 것을 권장합니다. MetaTrader 5용 고급 골드 헤징 및 점진적 복구 Expert Advisor Gold Hedge Pro v11 은 MetaTrader 5용 자동 Expert Advisor(EA)로, 구조화된 초기 헤징, 방향 확인, 점진적인 로트 증가, 수익 기반 단계 관리 및 전체 바스켓 수익 보호를 원하는 트레이더를 위해 설계되었습니다. EA는 처음에 Buy와 Sell 포지션을 동시에 오픈합니다. 시장 방향을 처음부터 예측하는 대신 시장이 어느 방향으로 강해지는지를 확인합니다. Buy 또는 Sell 포지션 중 하나가 설정된 수익 또는 포인트 트리거에 도달하면 EA는 해당 방향을 선택하고 점진적인 거래 시퀀스를 시작합니다. 선택된 방향이 계속 수익으로 움직이면 EA는 설정된 Lot Multiplier 에 따라 포지션 크기를 자동으로 증가시킵니다.
YZH AlgoCore
Yusuf Ziya Hazeral
5 (1)
https://www.mql5.com/tr/signals/2391586?source=Site+Signals+My YZH AlgoCore — 하나의 로봇으로 6가지 상품 활용 스마트 알고리즘. 체계적인 실행. 시중에는 수많은 "골드 로봇"이 있지만, XAUUSD, EURUSD, GBPUSD, GBPJPY, USDJPY, BTCUSD 등 6가지 상품에서 설정 변경 없이 동일한 엔진을 실행할 수 있는 로봇은 몇 개나 될까요? YZH AlgoCore는 이제 진정한 멀티 심볼 시스템입니다. 차트에 추가하기만 하면 로봇이 자동으로 심볼을 감지하고 내장된 프로필을 불러옵니다. 시간대, 지표 설정, 스케일링 방식 등 모든 것이 상품별로 내부적으로 정의됩니다. 6가지 상품에 하나의 라이선스만 있으면 됩니다. 6개의 로봇을 각각 구매하는 것보다 효율적입니다. YZH AlgoCore를 선택해야 하는 이유? 대부분의 트레이딩 시스템은 전략이 잘못되어서가 아니라 실행이 일관성이 없기 때문에 실패합
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Volume Trio
Seckin Erkut
Three institutional lenses. One deterministic engine. Most tools show you one dimension of the market. This indicator fuses the three that professionals cross-check constantly — and makes them talk to each other on a single chart: WHERE — Session Volume Profile. Per-session horizontal profiles with POC, VAH/VAL and a shaded Value Area, split into buying vs. selling pressure. You see the levels the market has actually accepted — and the thin air pockets it hasn't. WHEN — CVD Pressure Divergence.
FREE
Read-only analytics for accounts running several EAs. Groups your closed trades by magic number and measures how much of their combined risk actually cancels out. Free measurement edition. The monitoring and alerting edition is Portfolio Command Desk:  https://www.mql5.com/en/market/product/188884 The problem You run five Expert Advisors. Each backtest looked fine on its own. But the account does not trade five systems, it trades one portfolio, and no report in MetaTrader tells you how those sys
FREE
Hard limits for prop firm and challenge accounts Prop firm rules are not suggestions. Breach the daily loss limit by one dollar and the account is gone, whatever the equity curve looked like an hour earlier. The problem is that the rule lives on the firm's server while your positions live in your terminal, and nothing in MetaTrader 5 connects the two. Prop Firm Circuit Breaker sits on one chart and watches the whole account. The name is literal: an exchange halts trading when a threshold is bre
FREE
Start with the loss, not the profit. First decide how deep a drawdown you are willing to sit through — 5-10%, 20-30%, or more — and then let the system go after returns inside that limit. That is the order Veteran Army FX works in. And because no one knows which pair will produce the next real move, it keeps watch over eleven of them at once on the H4 timeframe, both directions, instead of betting the account on a single chart. At a glance Markets: 13 FX pairs, long and short, on the H4 timefram
Volume Trio Multi is a three-layer market-structure tool for MetaTrader 5: session Volume Profile (POC, VAH/VAL, Value Area), a CVD volume-pressure histogram with a strict Regular divergence engine, and anchored VWAP with standard-deviation bands — extended with a watchlist scanner that runs all three across the symbols in your Market Watch. This is the Pro edition of my free indicator, Volume Trio. The base engine is identical, so this page describes only what Pro adds. For the three layers the
Envelope monitoring for multi-EA accounts. Each magic number is watched against its own backtest; you get a traffic light on the chart and an alert only when a state changes. Includes the full free measurement layer. What it is You run several Expert Advisors on one account. This utility reads their closed history, groups it by magic number, and watches every system against its own backtest: a traffic light on the chart, and an alert only when a state actually changes. Underneath sits a full mea
Start with the loss, not the profit. First decide how deep a drawdown you are willing to sit through — 5-10%, 20-30%, or more — and then let the system go after returns inside that limit. That is the order Veteran Army Nasdaq works in. And because no one knows when the index will make its next real move — or in which direction — it stands ready on both sides of one market, with many independent systems instead of one confident bet. At a glance Market: US Tech 100 index, long and short, on the H1
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