Orion Range Guard
- Experts
- 버전: 5.280
- 활성화: 5
ORION RANGE GUARD
Aggressive XAUUSD M1 Range Breakout Expert Advisor
Orion Range Guard is an automated Expert Advisor developed specifically for GOLD (XAUUSD) on the M1 timeframe.
It is designed as an aggressive capital-growth system. It is NOT a low-risk investment product and it does NOT guarantee profit.
CORE TRADING CONCEPT
Orion builds a daily reference range between 00:00 and 07:00 broker/server time.
After the range is completed, the EA prepares for a breakout of the established Range High or Range Low.
The system evaluates the current range structure together with account and broker conditions before opening and managing trades.
Main elements include:
- XAUUSD / GOLD focus
- M1 timeframe
- Daily 00:00-07:00 broker-time range
- Range breakout entries
- Dynamic position sizing
- SafeLot / capital reserve logic
- Range-adaptive attack size
- Guard defensive reverse logic
- Range Fallback Rescue
- Aggressive Timed Rescue
- Margin and free-margin protection
- Broker-safe execution checks
- Automatic pending-order management
- Structural risk management
IMPORTANT: Range times use broker/server time. Different brokers may use different server time zones and daylight-saving schedules. This can change the exact range and therefore the trading results.
XAUUSD M1 FOCUS
Orion was developed primarily for XAUUSD on M1.
It should not be assumed that the same behavior or performance will be achieved on Forex pairs, indices, cryptocurrencies, other metals or other timeframes.
Recommended environment:
Platform: MetaTrader 5
Symbol: XAUUSD / GOLD
Timeframe: M1
DYNAMIC POSITION SIZING
Orion does not use one fixed lot size forever.
Before a new trade, the system can evaluate:
- Equity
- Free margin
- Range size
- Broker margin requirements
- Spread
- Structural price distance
- Available capital reserve
- Current risk capacity
This allows position size to decrease after losses and increase as account conditions improve.
Dynamic sizing does NOT remove risk. It only adapts exposure to current conditions.
SAFELOT / CAPITAL RESERVE
Orion is designed to avoid automatically committing the entire account capacity to every trade.
The lot engine keeps part of the capital available as reserve and can restrict trade size according to margin, range structure and internal safety calculations.
This is especially important on gold because XAUUSD can move very quickly and can produce large intraday price swings.
RANGE-ADAPTIVE ATTACK SIZE
Not every daily range is treated the same.
Small, medium and very large ranges represent different market conditions.
Orion can adjust how aggressively it uses available trading capacity according to the measured range.
The objective is not to use the largest possible lot on every trade, but to adapt exposure to the current structure.
BREAKOUT MANAGEMENT
After the daily range is completed, Orion prepares its breakout structure.
The EA can prepare both directions while waiting for the market to choose a side. Once one side is activated, the opposite pending setup can be removed.
Orion is NOT designed as a classic grid system that continuously accumulates positions.
It is also NOT an unlimited martingale chain.
The core process is:
RANGE -> BREAKOUT -> MANAGEMENT -> DEFENSIVE ACTION IF NEEDED -> EXIT
GUARD DEFENSIVE REVERSE LOGIC
Gold frequently produces false breakouts, strong wicks and rapid range re-entry.
If the original breakout becomes structurally dangerous, Orion can close the failing exposure and transfer the trading idea to the opposite direction.
The Guard mechanism is not designed to create endless BUY/SELL reversal chains. It is a controlled defensive response when the original breakout structure has failed.
The opposite side of the daily range can be used as a recovery objective.
RANGE FALLBACK RESCUE
Orion includes a Range Fallback Rescue mechanism for situations where price strongly invalidates the original breakout.
The rescue system can use its own position-size limits, margin checks, structural stop logic, recovery targets and time controls.
A rescue trade can also lose. Recovery is never guaranteed.
AGGRESSIVE TIMED RESCUE
Recovery exposure is not intended to remain unhealthy indefinitely.
Orion includes time-aware rescue management. If the expected recovery does not develop within the intended conditions, the EA can apply additional management or close the rescue according to its logic.
STRUCTURAL RISK MANAGEMENT
XAUUSD often produces:
- Large wicks
- False breakouts
- Liquidity sweeps
- Sudden volatility expansion
- Range re-entry
- Fast reversals
For this reason Orion does not rely only on extremely tight stop losses.
Trades may receive structural room when appropriate.
This also means that individual losing trades can be large.
HIGH HISTORICAL WIN RATE DOES NOT MEAN LOW RISK.
NO CLASSIC GRID / NO UNLIMITED MARTINGALE
Orion is not designed as a traditional fixed-distance grid EA and it is not designed to repeatedly double position size after every loss.
Position sizing and rescue behavior are based on account conditions, range structure, available margin and internal risk calculations.
However, Orion remains an AGGRESSIVE Expert Advisor.
NEWS AND VOLATILITY
The core Orion strategy is based on price and range behavior rather than predicting economic news.
Gold can become extremely volatile during CPI, NFP, FOMC, central-bank decisions, geopolitical events and unexpected macroeconomic announcements.
Spread expansion, slippage and rapid price gaps can occur.
No news filter can guarantee protection from these conditions.
HISTORICAL REAL TICK TESTING
Primary development and evaluation used MetaTrader 5 Strategy Tester with:
EVERY TICK BASED ON REAL TICKS
Historical backtests show how the strategy behaved under specific historical market and broker conditions. They are not a forecast and they do not guarantee future performance.
REAL TICK BACKTEST EXAMPLE - $300 INITIAL DEPOSIT
Symbol: XAUUSD
Timeframe: M1
Period: 2025.01.01 - 2026.07.14
Testing model: Every tick based on real ticks
History quality: 100%
Initial deposit: $300
Final balance: approximately $32,717.55
Net profit: approximately +$32,417.55
Total trades: 388
Winning trades: 377
Losing trades: 11
Historical win rate: approximately 97.16%
Profit Factor: approximately 2.55
Maximum Equity Drawdown: approximately 73.27%
REAL TICK BACKTEST EXAMPLE - $1,000 INITIAL DEPOSIT
Symbol: XAUUSD
Timeframe: M1
Period: 2025.01.01 - 2026.07.15
Testing model: Every tick based on real ticks
History quality: 100%
Initial deposit: $1,000
Net profit: approximately +$111,313.50
Final balance: approximately $112,313
Total trades: 388
Winning trades: 377
Losing trades: 11
Historical win rate: approximately 97.16%
Profit Factor: approximately 2.56
Maximum Equity Drawdown: approximately 73.28%
Short trade win rate: approximately 96.11%
Long trade win rate: approximately 98.08%
These are HISTORICAL BACKTEST RESULTS, not expected or guaranteed future results.
UNDERSTANDING THE WIN RATE
A historical win rate around 97% does NOT mean that future trades have a guaranteed 97% probability of winning.
Orion historically produced many winning trades and relatively few losing trades in the demonstrated period, but losing trades can be significantly larger than average winning trades.
Do not evaluate Orion only by win rate.
Also consider:
- Maximum drawdown
- Largest losses
- Deposit size
- Leverage
- Margin
- Broker execution
- Spread
- Slippage
- Lot size
- Market regime
- Profit withdrawals
AGGRESSIVE CAPITAL GROWTH
Orion was designed to grow trading capital aggressively.
As the account grows, the dynamic lot engine can gain access to greater trading capacity.
This can accelerate compounding.
But compounding works in both directions:
Larger account -> potentially larger lot
Larger lot -> potentially larger profit
Larger lot -> potentially larger monetary loss
This is why regular profit withdrawals are strongly recommended.
RECOMMENDED PROFIT WITHDRAWAL APPROACH
Do not treat the maximum balance shown in a backtest as the goal.
A trading profit remains exposed while it stays inside the trading account.
Two possible approaches:
80/20 approach:
Withdraw approximately 80% of accumulated realized profits and leave approximately 20% in the account for additional growth.
90/10 approach:
Withdraw approximately 90% of accumulated realized profits and leave approximately 10% in the account for more conservative compounding.
These are recommendations only, not mandatory rules.
The idea is simple:
GROW -> WITHDRAW PROFIT -> KEEP CONTROLLED CAPITAL WORKING -> REPEAT
ONLY USE RISK CAPITAL
Only trade with money you can afford to lose completely.
Do not use:
- Rent or mortgage money
- Loan payments
- Emergency savings
- Family savings
- Medical money
- Borrowed money
- Money required for daily living
- Essential business capital
If losing the trading deposit would create a serious financial problem, Orion is not suitable for that capital.
BROKER DIFFERENCES
Results can differ between brokers because of:
- XAUUSD contract specifications
- Tick size and tick value
- Spread
- Commission
- Swap
- Stop levels
- Margin requirements
- Minimum and maximum lot
- Lot step
- Server time
- Slippage
- Execution quality
- Liquidity
- Leverage
Always test Orion using your own broker's XAUUSD data before live trading.
LEVERAGE AND MARGIN
Leverage strongly affects available margin.
Lower leverage can reduce available position size, increase margin usage and prevent some trades from opening.
Do not assume that results produced under one leverage level will be identical under another.
VPS RECOMMENDATION
For automated trading, a stable VPS close to the broker's trading server is recommended.
Avoid unstable internet connections, computer sleep mode, frequently closing MetaTrader or manually interfering with Orion positions unless you understand the consequences.
BEFORE LIVE TRADING
Before using real money:
1. Backtest Orion with your broker's XAUUSD data.
2. Use Every tick based on real ticks where possible.
3. Confirm symbol specifications and broker server time.
4. Test the EA on a demo account.
5. Verify lot sizing and margin behavior.
6. Understand the possible drawdown.
7. Decide your maximum acceptable deposit.
8. Decide your profit-withdrawal plan in advance.
9. Only then consider live trading.
WHO ORION MAY SUIT
Orion may suit traders who understand:
- Automated trading
- Leverage and margin
- High drawdown
- Aggressive risk
- Dynamic lot sizing
- XAUUSD volatility
- Regular profit withdrawals
WHO SHOULD NOT USE ORION
Orion is not suitable for traders who:
- Want guaranteed profit
- Require very low drawdown
- Cannot tolerate large equity fluctuations
- Need the trading deposit for essential expenses
- Expect every trade to win
- Do not understand leverage or margin
- Believe backtests guarantee future performance
IMPORTANT RISK WARNING
Orion Range Guard is a HIGH-RISK Expert Advisor.
Significant drawdowns can occur.
A substantial part or even all of the trading capital may be lost under unfavorable market, execution or broker conditions.
No Expert Advisor can guarantee:
- Profit
- Win rate
- Maximum drawdown
- Recovery of a losing trade
- Protection from gaps
- Protection from slippage
- Protection from black-swan events
Markets change over time. A strategy that performed strongly during one historical period may perform differently in another market regime.
FINAL MESSAGE
Orion Range Guard is designed for aggressive XAUUSD capital growth using daily range breakout logic, adaptive position sizing and defensive trade-management mechanisms.
Its historical Real Tick results demonstrate what the strategy achieved under the tested conditions, but they do not guarantee future performance.
The recommended philosophy is:
GROW THE ACCOUNT
-> REALIZE PROFIT
-> WITHDRAW REGULARLY
-> KEEP ONLY CONTROLLED CAPITAL EXPOSED
Past performance and historical simulations are not guarantees of future results.
ONLY TRADE WITH MONEY YOU CAN AFFORD TO LOSE COMPLETELY.
