Gold MTF Trend Tighten Pro MT5
- Experts
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Phan Van Khoa
⭐ PROFESSIONAL QUANT DEVELOPER & ALGORITHMIC TRADING SYSTEMS
Welcome to my official MQL5 developer page. I specialize in institutional-grade quantitative trading systems, high-precision Expert Advisors, and statistical breakout models for MetaTrader 5. - 버전: 1.0
- 활성화: 5
Gold MTF Trend Tighten Pro MT5
Gold MTF Trend Tighten Pro MT5 is an algorithmic trading system designed for XAUUSD (Gold) on the H1 timeframe with H4 macro trend filtering. It is designed to reduce false intraday breakouts during higher-timeframe consolidation. The Tighten edition moves the stop loss to breakeven earlier and trails at a shorter distance than the baseline edition.
Test results (strategy tester)
- 7-gate check, standard tier: All 7 checks completed with Model=0 real ticks over 2021–2026: 246 trades, profit factor 1.83, net result +$808.44 (+8.08%). Past test results do not guarantee future performance.
- Drawdown in test (1.32% max equity): Over 5 years of historical gold real ticks, equity drawdown did not exceed 1.32%, with a recovery factor of 6.01 in the test window.
- Out-of-sample segment (2024–2026): Profit factor 2.39, net result +$680.60 over 118 trades, win rate 66.67% in that segment.
- Multi-timeframe structure: H1 continuation entries are taken only when aligned with the H4 macro EMA trend structure (50/200).
- Tighten exits (BE 0.5 ATR / Trail 2.5 ATR): The stop loss moves to breakeven after +0.5× ATR, with a 2.5× ATR trailing distance.
- Risk settings: Position size is derived from an equity risk percentage (0.25% default). No Martingale, no grid, no averaging. New entries are blocked at 23:00 server time (rollover filter).
Settings and presets
- Symbol: XAUUSD / GOLD
- Primary timeframe: H1 (macro timeframe: H4)
- Leverage: 1:100 to 1:500
- Minimum deposit: $100 Cent / $10,000 Standard
- Included presets: Conservative (0.15% risk), Balanced (0.25% risk), PropFirm Safe (0.20% risk), Aggressive (0.35% risk).
Backtest summary (Model=0 real ticks, 2021–2026)
- Total trades: 246 | Profit factor: 1.83 | Net result: +$808.44 (+8.08%)
- Max equity drawdown: 1.32% | Recovery factor: 6.01 | Win rate: 66.67%
- Out-of-sample (2024–2026): PF 2.39, +$680.60, 118 trades
- In-sample (2021–2023): PF 1.29
