Session Range Trader MT5

SESSION RANGE TRADER MT5

Transparent session breakouts, quantified risk and account safeguards.

Session Range Trader MT5 turns a classic, transparent trading idea — the session-range breakout — into an automated system with filtered entries, ATR-based position sizing and quantified account protection.

The EA does not use martingale, recovery grids or averaging into losing positions. Every entry is calculated independently and uses a defined Stop Loss and Take Profit. Volume remains subject to the broker's lot and margin constraints.

MAIN FEATURES

• Session range breakout logic.
• ATR-based stop distance and position sizing.
• Spread and execution safeguards.
• Daily and weekly loss and drawdown controls.
• Margin and exposure restrictions.
• One managed position at a time.
• No DLLs or external web services.

VERIFIED HISTORICAL RESULTS FROM THE COMMERCIAL EX5

Out-of-sample EURUSD H1 test using real ticks and tested broker costs, from 1 July 2025 through 21 August 2026:

• EUR 500.00 → EUR 702.78.
• Net return: +40.56%.
• Exact CAGR: 34.81%.
• Maximum equity drawdown: 10.14%.
• Profit factor: 1.61.
• 86 trades; 53.49% profitable.
• Minimum observed margin level: 218.52%.

ROBUSTNESS CHECKS

• All three consecutive walk-forward slices finished profitable, with profit factors of 1.44, 1.47 and 2.22.
• With synthetic extra costs of EUR 10 and EUR 20 per lot, final balances remained EUR 687.60 and EUR 675.61.
• When the ATR stop distance was moved ±10%, both neighbouring settings remained profitable, finishing at EUR 586.07 and EUR 737.20.

SUGGESTED STARTING SETUP

• Symbol: EURUSD.
• Timeframe: H1.
• Starting capital used in the reference test: EUR 500.
• Load the supplied reference preset before testing.

Always run the free Market demo in the MetaTrader 5 Strategy Tester with your broker's symbol specifications and trading costs before purchase. Start on a demo account after purchase and select a risk level appropriate for your own circumstances.

RISK NOTICE

These are simulated historical results from the commercial executable, not real-account results, and they do not guarantee future performance. Trading leveraged products involves substantial risk. Spread, commissions, execution, server time, contract size and market conditions can materially change results.
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