NeuroWick

Farhad Kia
Farhad Kia
I have extensive experience as an algo-trader and a skilled MT4/5 tool developer. I have created over 1000 EAs, indicators, and scripts for MT4/5, and have won several Forex contests. Apart from programming, I also possess valuable expertise as a successful algo-trader, which allows me to provide
안정성
31
5 / 69K USD
다음 이후의 성장 2026 216%

현재 삭감은 구독자에게 위험합니다. 삭감이 개선되면 구독이 허용됩니다.

실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
  • 자본
  • 축소
트레이드:
192
이익 거래:
152 (79.16%)
손실 거래:
40 (20.83%)
최고의 거래:
14.51 USD
최악의 거래:
-11.58 USD
총 수익:
344.37 USD (43 671 pips)
총 손실:
-129.00 USD (14 758 pips)
연속 최대 이익:
15 (39.75 USD)
연속 최대 이익:
60.53 USD (10)
샤프 비율:
0.36
거래 활동:
56.27%
최대 입금량:
17.55%
최근 거래:
5 시간 전
주별 거래 수:
4
평균 유지 시간:
2 일
회복 요인:
10.65
롱(주식매수):
99 (51.56%)
숏(주식차입매도):
93 (48.44%)
수익 요인:
2.67
기대수익:
1.12 USD
평균 이익:
2.27 USD
평균 손실:
-3.23 USD
연속 최대 손실:
3 (-20.15 USD)
연속 최대 손실:
-20.15 USD (3)
월별 성장률:
20.62%
연간 예측:
250.23%
Algo 트레이딩:
100%
잔고에 의한 삭감:
절대적:
0.04 USD
최대한의:
20.23 USD (8.56%)
상대적 삭감:
잔고별:
10.04% (11.60 USD)
자본금별:
54.77% (157.46 USD)

배포

심볼 Sell Buy
EURJPY 23
NZDJPY 17
GBPAUD 14
GBPCHF 12
EURAUD 11
USDJPY 10
NZDCAD 10
AUDCHF 10
AUDJPY 9
GBPJPY 9
NZDCHF 9
AUDCAD 8
EURUSD 7
CHFJPY 6
EURNZD 6
GBPCAD 6
USDCHF 5
GBPUSD 5
CADJPY 3
EURGBP 3
CADCHF 2
GBPNZD 2
USDCAD 2
EURCHF 1
AUDUSD 1
NZDUSD 1
5 10 15 20 25 30
5 10 15 20 25 30
5 10 15 20 25 30
심볼 총 수익, USD 손실, USD 수익, USD
EURJPY 22
NZDJPY 0
GBPAUD 24
GBPCHF -3
EURAUD 18
USDJPY 18
NZDCAD 9
AUDCHF 9
AUDJPY 3
GBPJPY 19
NZDCHF -8
AUDCAD 12
EURUSD 11
CHFJPY 10
EURNZD 15
GBPCAD 13
USDCHF -4
GBPUSD 35
CADJPY 5
EURGBP 6
CADCHF -4
GBPNZD 2
USDCAD 2
EURCHF 0
AUDUSD 2
NZDUSD 0
10 20 30 40 50
10 20 30 40 50
10 20 30 40 50
심볼 총 수익, pips 손실, pips 수익, pips
EURJPY 3.7K
NZDJPY 880
GBPAUD 3.4K
GBPCHF -181
EURAUD 2.6K
USDJPY 2.8K
NZDCAD 1.2K
AUDCHF 774
AUDJPY 434
GBPJPY 1.9K
NZDCHF -668
AUDCAD 1.7K
EURUSD 1.1K
CHFJPY 1.1K
EURNZD 2.6K
GBPCAD 1.8K
USDCHF -272
GBPUSD 2.3K
CADJPY 720
EURGBP 426
CADCHF -335
GBPNZD 278
USDCAD 354
EURCHF 34
AUDUSD 200
NZDUSD 33
2K 4K 6K
2K 4K 6K
2K 4K 6K
  • 입금량
  • 축소
최고의 거래: +14.51 USD
최악의 거래: -12 USD
연속 최대 이익: 10
연속 최대 손실: 3
연속 최대 이익: +39.75 USD
연속 최대 손실: -20.15 USD

리얼개 계정의 다양한 브로커들의 실행 통계를 기반으로 한 평균 편차가 핍(Pip)에 입력됩니다. 이 값은 "RoboForex-ECN"의 제공업자의 값과 구독자의 값 간의 차이와 주문 실행 지연에 따라 달라집니다. 값이 낮을수록 복제의 질이 더 훌륭하다는 것을 의미합니다.

VantageFX-Live
0.00 × 2
GrandMarkets-MT5 Live1
0.00 × 1
Tradestone-Real
0.00 × 1
FusionMarketsAU-Live
0.00 × 1
WingoGroupLtdTestOnly-Live
0.00 × 1
TriveEurope-Live2
0.00 × 1
RoboMarketsDE-ECN
0.21 × 24
VantageInternational-Live 19
0.27 × 147
VantageMarkets-Live 19
0.33 × 106
VantageFXInternational-Live
0.38 × 48
VantageInternational-Live 21
0.38 × 21
ICMarkets-MT5
0.45 × 22
ForexTimeFXTM-Live01
0.49 × 49
VantageMarkets-Live 13
0.50 × 90
Exness-MT5Real7
0.60 × 531
MonetaMarkets-Live
0.67 × 6
FIBOGroup-MT5 Server
0.67 × 3
RoboForex-ECN
0.77 × 6746
Alpari-Real01
0.86 × 42
VantageMarkets-Live 10
0.86 × 126
ScopeMarkets-Live
0.91 × 107
ICMarketsSC-MT5-3
0.94 × 239
ThreeTrader-Live
0.95 × 84
RannForex-Server
0.99 × 73
VantageMarkets-Live 21
1.00 × 1
158 더...
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오

Welcome to NeuroWick! 🚀

(NeuroWick Live Signal — Algorithmic Trading Performance)


Thank you for your interest in copying our signal. The goal of the system is to target 10-30% return per month, using advanced built-in money management rather than fixed Stop Losses on individual trades.


⚠️ IMPORTANT — When to Start Copying:
Please only activate signal copying when there are NO open positions on the account. The EA manages trades as coordinated baskets across multiple currency pairs. If you subscribe while trades are already open, some legs of an active basket may not be copied to your account, which can lead to incomplete positions, unbalanced exposure, and results that differ significantly from the signal's performance. To avoid this, wait until the signal account shows 0 open trades before activating copying on your end.


To get the best results, please make sure you're using an ECN account with your broker for tighter spreads and accurate execution. If your broker offers a swap-free account option, we'd also recommend enabling it for better long-term performance. You can register at RoboForex using our partner link and open a Real MT5 ECN account with swap-free option.

Open RoboForex Account (Partner ID: pbvu)


Regarding risk: based on our 5-year backtest, the average drawdown sits in the 10-16% range, with one rare instance of around 34% drawdown, which was recovered quickly. Please size your account accordingly and avoid closing trades manually, as the system manages trades as baskets and needs to run its full cycle for accurate results.


📢 Join our Telegram channel for live updates, including notifications when new positions are opened or when a basket closes:

👉 https://t.me/FX_CORNER


If you need any help setting up your broker account or have questions about getting started, feel free to reach out:

📧 Email: admin@fxcorner.net

💬 Telegram: @Gioteen


Happy trading! 🙂


평균 평점:
Robinson Osorio
1213
Robinson Osorio 2026.08.21 01:54 
 

Muy mala gestión; no recomendada

Violette
665
Violette 2026.06.30 11:47 
 

I like this signal because it trades diversified pairs of forex, it changes of all those xau/usd signals ! And the signal provider is very friendly :)

playgold
1375
playgold 2026.06.21 02:01  (수정됨 2026.08.26 21:25) 
 

As written on June 21, 2026:

I've been copying this signal for 3+ weeks. It compares favorably to other Forex currency pairs signals, including a couple I'm following concurrently (separate accounts). One of those other signals is non-grid using just one currency pair. It was showing almost linear growth and became really popular, yet had its performance worsen lately. The other is a grid, where there were a few dangerous equity drawdown spikes. In comparison, this signal just continued to perform and its equity drawdown didn't exceed half the monthly growth. I am likely to renew this one, but not those.

Before starting to copy, I contacted the provider and got exhaustive answers to all of my questions. This is one trade at a time per currency pair, but we may have a basket of trades running across multiple pairs simultaneously. There's no explicit SL on individual trades, but drawdown is managed and some trades are closed with losses, usually as part of closing a multi-currency basket in profit.

According to the provider, the setup is unusually advanced, on a dedicated server with GPU. The current strategy runs since the end of April, so older trades on the account are irrelevant.

The copying quality to another broker is very good for me. These trades are moderately sensitive to spreads and commissions, but that's not a problem for me as my broker's commissions are much lower than what I see most other brokers offer. (Please feel free to message me about the broker.)

Update on August 13, 2026:

Unfortunately, the signal (kind of) hit and exceeded its all-time worst drawdown seen in backtests, which was reported (by the provider in the description) as 34%, but is now (per MQL5 statistics) nearly 35%. However, that's 35% by equity relative to the new, temporarily inflated balance as some trades from the current basket got closed in profit. If we measure it relative to peak equity (rather than peak balance), it's not that bad yet - it's more like 27% - but is still a lot. This happened in under 4 months after launch of the current strategy, which is rather soon. This may be poor luck or more likely it indicates that (as usual) backtests are optimized and do not accurately reflect future frequency and extent of adverse events.

The explanation posted a few days ago on the provider's profile is that the larger trade that is now in floating loss is "tied to the recent coordinated JPY intervention by US and Japanese authorities, which has increased volatility across yen pairs — the system's automatic exposure balancing has scaled up sizing accordingly to manage that." While I had actually wanted larger trades, I thought more of us moving from 0.01 to 0.02 lots for all trades on the signal account once $200 was reached, not of selectively even larger lots (this one is 0.03) in association with increased volatility. Per my thinking, increased volatility should mean smaller trades, not larger. Be careful what you wish for.

Central bank interventions are infrequent. As I recall, this one was not announced publicly until after the fact. Once it was, maybe it would have been wise to look for a right moment to intervene and exit manually as well. I think there was in fact a reasonable opportunity or two. On the other hand, I understand the provider's preference to stay 100% algo and within tested parameters of the system, and it's too late to intervene now.

A 35% drawdown is bad, but it would not necessarily stop me from following a signal if this did not exceed typical monthly growth or if the signal had enough live history or the system had enough pure forward-test for us to know this is extremely rare. Unfortunately, here the drawdown put us 2+ months behind and there isn't enough history and backtest alone doesn't count.

This loss is not yet realized on the balance, but it is mostly hedged via other pairs with JPY. On one hand, this means that further progression of this event is unlikely to blow the account, but on the other it means that prompt full recovery is unlikely even if the US and Japan make another intervention making the price reach break-even for that worst trade again. The only chance seems to be via really optimal exit times for the individual pairs with JPY, not as a basket exit. The system already demonstrates ability to perform such selective exits - that's great.

I'm going to let the system manage this basket and will see what happens, and I've actually added a bit more funds to ease this on my end, but I am unlikely to stay with this signal beyond this month. It failed my expectations by getting into this situation so soon and without achieving a monthly growth that would make this acceptable.

A problem is swaps. While the signal account is swap-free and the same is recommended for follower accounts, mine is not (and I guess most other followers' are not). This wasn't a big deal so far, but if we're to hold losing trades for a long time, the negative swaps (or broker's markup on swaps when hedging) will add up. This may force me to stop earlier than the signal would.

I lowered the trade system reliability score accordingly. Trade copying quality and user support are still perfect!

Update on August 20, 2026:

The signal recovered a little bit, at some point to only 17% drawdown relative to peak equity, but its JPY trades are no longer hedged (now 0.04 lots on ~$180 equity). I temporarily stopped following it (and got the trades closed) before this week's triple-swap and rejoined with half balance afterwards, reducing my exposure (and accepting half of the loss from the currently open basket).

I share this as I know several other followers are also looking for a good way to exit the current basket - maybe consider a similar move next Wednesday if still relevant and if it looks like a good opportunity again. An alternative to stopping and rejoining with half is simply to withdraw half, in which case MT5's signal copying does a partial close of the trades (maybe a few minutes later). This does not fully avoid the day's swaps (only half), but it avoids other costs and doesn't skip any price movements.

Update on August 26, 2026:

It's another Wednesday and I finally parted ways with this signal. In hindsight, it was better not to rejoin with half balance a week earlier as I got a further loss during this extra week, but I'm glad I at least reduced exposure. My overall result for the last 2 months appears to be roughly a 10% loss (no way to tell exactly as I've been adding and removing funds) and it's roughly the same as the cost of swaps over this period, so in a swap-free account I may have been at break-even for these 2 months. I had this signal for a total of 3 months, and the first month it made me a profit (as well as the second month, but that's negated by the third month), so overall I am near break-even for the 3 months despite of the swaps and the latest floating loss (which I now accepted). That's not awful, but also not what I want from a signal.

I hope Farhad will continue to improve the system, including to avoid or down-size or promptly close such risky entries like we had with the rapid JPY price move on the intervention and to take swaps in consideration.

2026.09.15 22:26
Removed warning: High current drawdown indicates the absence of risk limitation
2026.09.15 21:26
High current drawdown in 31% indicates the absence of risk limitation
2026.09.15 08:16
Removed warning: High current drawdown indicates the absence of risk limitation
2026.09.15 07:16
High current drawdown in 31% indicates the absence of risk limitation
2026.09.15 05:14
Removed warning: High current drawdown indicates the absence of risk limitation
2026.09.15 04:14
High current drawdown in 30% indicates the absence of risk limitation
2026.09.14 14:04
Removed warning: High current drawdown indicates the absence of risk limitation
2026.09.14 13:04
High current drawdown in 31% indicates the absence of risk limitation
2026.09.03 08:39
Removed warning: High current drawdown indicates the absence of risk limitation
2026.09.02 02:21
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.08.28 14:44
A large drawdown may occur on the account again
2026.08.12 15:40
High current drawdown in 30% indicates the absence of risk limitation
2026.08.12 14:39
Removed warning: High current drawdown indicates the absence of risk limitation
2026.08.12 03:36
High current drawdown in 31% indicates the absence of risk limitation
2026.08.10 04:17
No swaps are charged on the signal account
2026.06.01 09:43
Removed warning: Too much growth in the last month indicates a high risk
2026.05.21 08:42
Too much growth in the last month indicates a high risk
2026.05.12 11:51
Share of trading days is too low
2026.05.07 22:46
Share of days for 80% of growth is too low
2026.05.05 10:33
Share of days for 80% of trades is too low
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