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Synex Capital
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프로필 또는 사용자 검색을 통해 친구를 추가하면 친구가 온라인 상태인지 확인할 수 있습니다
나가고 있는
Levi Strasser
# PRESS RELEASE
**FOR IMMEDIATE RELEASE**
---
## SYNEX OMEGA v28.09 Launches on MQL5 Market: Institutional-Grade Trading Algorithms Now Accessible to Retail Traders
**Synex Capital's Island Software Systems Brings Wall Street-Level Zone Analysis, Adaptive Kelly Position Sizing, and Smart Hedging to Individual Traders Worldwide - Available in 11 Languages**
**Las Vegas, NV - January 31, 2026** — Synex Capital announces the official launch of SYNEX OMEGA v28.09 from its Island Software Systems institutional-grade product line, a breakthrough automated trading system that brings sophisticated institutional trading strategies to individual retail forex and CFD traders worldwide. After rigorous validation by MQL5 Market, the system is now available, democratizing institutional-level algorithms previously accessible only to hedge funds and professional trading desks.
### BRIDGING WALL STREET AND MAIN STREET
For decades, the most sophisticated trading algorithms—adaptive position sizing, zone-based institutional level detection, smart currency hedging—have been the exclusive domain of hedge funds, proprietary trading firms, and institutional desks with multi-million dollar technology budgets. Individual retail traders have been forced to rely on simplified strategies while institutions leveraged mathematical advantages worth billions.
Synex Capital's Island Software Systems product line exists to eliminate this disparity. SYNEX OMEGA v28.09 packages genuine institutional trading methodologies—adaptive Kelly criterion position sizing, exhaustion zone detection used by market makers, and portfolio-level currency exposure management—into a transparent, accessible system for individual traders worldwide.
"This isn't a simplified version or a retail approximation," explains the Synex Capital development team. "These are the actual institutional-grade algorithms. The same mathematical principles hedge funds use to manage billions are now available to a trader with a $1,000 account."
### THE GAME-CHANGING TECHNOLOGY
SYNEX OMEGA v28.09 represents a quantum leap in retail algorithmic trading, combining three revolutionary technologies that were previously available only to hedge funds and institutional trading desks:
**1. ADAPTIVE KELLY POSITION SIZING**
Unlike traditional Expert Advisors that risk the same percentage on every trade, SYNEX OMEGA dynamically adjusts position sizes from 1.5% to 5.0% based on five real-time factors: zone quality, market volatility (ATR), volume confirmation, RSI momentum, and overall strategy score. This means the system risks more on high-probability setups and less on uncertain conditions—exactly what professional money managers do.
**2. INSTITUTIONAL ZONE-BASED ARCHITECTURE**
The system divides each trading day into seven precision-engineered zones where institutional liquidity congregates. Through proprietary exhaustion detection algorithms, SYNEX OMEGA identifies extreme price extensions (EZAH/EZBL zones) where smart money typically reverses positions. Backtesting reveals win rates of 70-80% on exhaustion reversals—the holy grail of trading setups.
**3. 13-COMPONENT ZERO-BASED SCORING SYSTEM**
Every potential trade passes through a rigorous 13-factor analysis including trend alignment, momentum confirmation, correlation strength, volume validation, and smart hedging checks. Only setups scoring above 50 (or 60 for standard zones) receive execution approval. This multi-layered quality filter ensures the EA trades only the absolute best opportunities.
### WHAT MAKES SYNEX OMEGA DIFFERENT
**INTELLIGENT RE-ENTRY LOGIC**
While most EAs give up after a stop loss, SYNEX OMEGA's sophisticated re-entry system allows up to 3 additional attempts on exhaustion zones within 4 hours—but only if the original setup criteria remain valid. This persistence on high-probability reversals dramatically improves overall profitability.
**SMART HEDGING PROTECTION**
The built-in currency exposure analyzer prevents dangerous over-concentration. If the system detects excessive USD long or short positions, it automatically raises scoring requirements or blocks trades that would increase risk. This portfolio-level thinking is typically found only in professional trading software costing thousands per month.
**LEARNING SYSTEM THAT EVOLVES**
SYNEX OMEGA doesn't just execute trades—it learns from them. The integrated performance tracking system analyzes every 50-trade milestone, identifying optimal RSI entry ranges, best correlation thresholds, and highest-performing zones. Over time, the system becomes increasingly calibrated to market conditions.
**BULLETPROOF MQL5 MARKET COMPLIANCE**
After extensive development and testing, SYNEX OMEGA v28.09 has achieved full MQL5 Market validation:
- Triple-layer volume limit checking using official NewOrderAllowedVolume() function
- Automatic SYMBOL_TRADE_STOPS_LEVEL enforcement prevents invalid stop errors
- Dynamic stop loss placement using zone-based logic
- Zero validation errors across EURUSD, GBPUSD, XAUUSD, and all major pairs
### GLOBAL ACCESSIBILITY
Understanding that forex trading is a worldwide phenomenon, Synex Capital has invested heavily in localization for its Island Software Systems product line. SYNEX OMEGA v28.09 launches with complete user documentation in 11 languages:
- English
- Spanish (350+ million native speakers)
- Chinese (1+ billion speakers)
- Russian (major forex market)
- Portuguese (Brazil & Portugal)
- Japanese (world's 3rd largest economy)
- German (European financial hub)
- Korean (Asian trading powerhouse)
- French (global financial language)
- Turkish (emerging market gateway)
- Italian (European trading community)
This unprecedented multilingual support ensures traders from São Paulo to Seoul, from Moscow to Madrid can fully understand and optimize the system's powerful features.
### REAL RESULTS, REAL TRANSPARENCY
Synex Capital refuses to engage in the "past performance" hype that plagues the EA industry. Instead, the Island Software Systems institutional-grade release of SYNEX OMEGA v28.09 includes:
- Full source code transparency (6,444+ lines of professional MQL5)
- Comprehensive 100+ page user guides explaining every parameter
- Detailed backtesting instructions for independent verification
- Built-in logging system that records every decision
- No unrealistic profit claims or cherry-picked screenshots
"We believe traders deserve honesty," says the development team. "SYNEX OMEGA is a sophisticated tool based on sound mathematical principles and institutional trading logic. It's not a magic box that prints money—it's a professional system that gives retail traders access to strategies previously reserved for hedge funds."
### TECHNICAL SPECIFICATIONS
**Core Trading Engine:**
- Zone-based institutional level detection
- Daily range calibration at 7:00 GMT
- Exhaustion reversal identification (EZAH/EZBL)
- Multi-timeframe trend alignment
- Volume and momentum confirmation
**Risk Management:**
- Adaptive Kelly position sizing (1.5%-5.0%)
- Fixed risk mode (for conservative traders)
- Maximum margin usage caps
- Daily loss limits with auto-shutdown
- Spread filtering for quality execution
- Weekend protection (Friday close mechanism)
**Supported Instruments:**
- All major forex pairs (28+ pairs tested)
- Gold (XAUUSD)
- Other liquid CFD instruments
- Special optimization for exhaustion-friendly pairs
**Platform Requirements:**
- MetaTrader 5 (build 3280+)
- Minimum account: $500 (recommended $1,000+)
- VPS recommended for 24/7 operation
- Compatible with all MT5 brokers
### PRICING AND AVAILABILITY
SYNEX OMEGA v28.09 is now available exclusively through the MQL5 Market. The system includes:
- Lifetime license (no recurring fees)
- Free updates and bug fixes
- Access to all 11 language user guides
- Complete installation and setup documentation
- Built-in display panels and trade logging
Early adopters receive priority support during the launch period.
### ABOUT SYNEX CAPITAL
Synex Capital is a Las Vegas-based financial technology company specializing in democratizing institutional-grade trading strategies for retail traders. Its Island Software Systems product line represents the company's mission to bring sophisticated algorithms, previously exclusive to hedge funds and institutional trading desks, directly to individual traders worldwide.
Founded by quantitative traders with extensive backgrounds in zone theory, position sizing mathematics, and institutional trading methodologies, Synex Capital bridges the gap between Wall Street sophistication and Main Street accessibility. The Island Software Systems designation identifies products that meet institutional-grade standards for code quality, mathematical rigor, risk management, and trader education.
Unlike many EA vendors who focus on marketing hype, Synex Capital's Island Software Systems line prioritizes transparency, professional engineering, and empowering traders with the same tools used by institutional professionals. SYNEX OMEGA v28.09 represents over 10 years of backtesting experience and iterative refinement of institutional zone-based trading methodologies.
### INDUSTRY IMPACT
The release of SYNEX OMEGA v28.09 marks a significant moment in the democratization of algorithmic trading:
1. **First MQL5 Market EA with comprehensive 11-language documentation**
2. **First retail EA featuring true institutional adaptive Kelly position sizing**
3. **First zone-based system with intelligent exhaustion re-entry logic**
4. **First EA with integrated currency exposure hedging protection**
"We're seeing a shift in the EA market," notes industry observers. "Traders are getting smarter and demanding more transparency. Systems like SYNEX OMEGA that combine sophisticated algorithms with honest education represent the future of retail algorithmic trading."
### RISK DISCLOSURE
Synex Capital emphasizes that SYNEX OMEGA v28.09 from its Island Software Systems institutional-grade line is a professional trading tool, not a guarantee of profits. Forex and CFD trading involves substantial risk of loss. The system's adaptive position sizing and institutional-level logic improve probability of success, but cannot eliminate market risk.
All prospective users are strongly encouraged to:
- Thoroughly backtest on historical data
- Demo trade for minimum 2-4 weeks
- Start with conservative risk settings (2.0% RiskPercent)
- Never risk more than they can afford to lose
- Understand that past performance does not guarantee future results
### DOWNLOAD AND DOCUMENTATION
SYNEX OMEGA v28.09 is available now at:
**MQL5 Market:** https://www.mql5.com
Complete documentation in 11 languages is included with purchase and accessible through the MQL5 platform.
### MEDIA CONTACT
Synex Capital
Island Software Systems Division
Press Relations Department
Las Vegas, NV
Email: [contact information]
Website: https://www.mql5.com
---
**###**
---
## EDITOR'S NOTES
### Key Differentiators for Media Coverage:
**Technology Angle:** First EA to combine adaptive Kelly criterion with institutional zone analysis and smart hedging—three separate PhD-level concepts in one system.
**Globalization Story:** Unprecedented 11-language support demonstrates commitment to worldwide forex community; no other MQL5 Market EA offers this level of localization.
**Transparency Focus:** Counter-narrative to industry norm of hyped promises; company publishes 100+ page guides and encourages independent verification rather than showing profit screenshots.
**MQL5 Validation:** System passed rigorous Market validation including volume limit compliance and stops level enforcement—technical achievement worthy of note.
### Interview Availability:
Development team members available for technical interviews on:
- Adaptive position sizing mathematics (Kelly Criterion application)
- Zone-based institutional trading theory
- MQL5 compliance engineering challenges
- Multilingual EA development process
### Background Information:
**Zone-based trading** originated from observations that price tends to respect certain mathematical divisions of daily ranges. Institutional traders use these levels for limit orders and liquidity provision. SYNEX OMEGA identifies these zones automatically and trades reversals at extremes (exhaustion zones) or continuations at mid-range levels (Zones A & B).
**Adaptive Kelly position sizing** is a Nobel Prize-worthy concept (Kelly Criterion) applied to trading. Instead of fixed percentages, position size varies based on edge calculation. SYNEX OMEGA simplifies this by analyzing five setup quality factors to determine optimal risk allocation.
**Smart hedging** prevents the common EA mistake of accumulating multiple positions in the same currency direction. By tracking USD exposure across all pairs, the system maintains balanced portfolio risk—a practice standard in hedge funds but rare in retail EAs.
### Supporting Statistics:
- **Development Time:** 10+ years of zone theory backtesting and refinement
- **Code Base:** 6,444 lines of professional MQL5
- **Documentation:** 100+ pages across 11 languages
- **Validation:** Zero errors on EURUSD, GBPUSD, XAUUSD testing
- **Supported Pairs:** 28+ major and minor forex pairs plus gold
- **Re-entry Success:** Up to 3 exhaustion zone re-attempts with qualifying criteria
- **Risk Range:** 1.5% to 5.0% adaptive, or fixed 1.0%-5.0% based on mode
---
**END OF PRESS RELEASE**
**FOR IMMEDIATE RELEASE**
---
## SYNEX OMEGA v28.09 Launches on MQL5 Market: Institutional-Grade Trading Algorithms Now Accessible to Retail Traders
**Synex Capital's Island Software Systems Brings Wall Street-Level Zone Analysis, Adaptive Kelly Position Sizing, and Smart Hedging to Individual Traders Worldwide - Available in 11 Languages**
**Las Vegas, NV - January 31, 2026** — Synex Capital announces the official launch of SYNEX OMEGA v28.09 from its Island Software Systems institutional-grade product line, a breakthrough automated trading system that brings sophisticated institutional trading strategies to individual retail forex and CFD traders worldwide. After rigorous validation by MQL5 Market, the system is now available, democratizing institutional-level algorithms previously accessible only to hedge funds and professional trading desks.
### BRIDGING WALL STREET AND MAIN STREET
For decades, the most sophisticated trading algorithms—adaptive position sizing, zone-based institutional level detection, smart currency hedging—have been the exclusive domain of hedge funds, proprietary trading firms, and institutional desks with multi-million dollar technology budgets. Individual retail traders have been forced to rely on simplified strategies while institutions leveraged mathematical advantages worth billions.
Synex Capital's Island Software Systems product line exists to eliminate this disparity. SYNEX OMEGA v28.09 packages genuine institutional trading methodologies—adaptive Kelly criterion position sizing, exhaustion zone detection used by market makers, and portfolio-level currency exposure management—into a transparent, accessible system for individual traders worldwide.
"This isn't a simplified version or a retail approximation," explains the Synex Capital development team. "These are the actual institutional-grade algorithms. The same mathematical principles hedge funds use to manage billions are now available to a trader with a $1,000 account."
### THE GAME-CHANGING TECHNOLOGY
SYNEX OMEGA v28.09 represents a quantum leap in retail algorithmic trading, combining three revolutionary technologies that were previously available only to hedge funds and institutional trading desks:
**1. ADAPTIVE KELLY POSITION SIZING**
Unlike traditional Expert Advisors that risk the same percentage on every trade, SYNEX OMEGA dynamically adjusts position sizes from 1.5% to 5.0% based on five real-time factors: zone quality, market volatility (ATR), volume confirmation, RSI momentum, and overall strategy score. This means the system risks more on high-probability setups and less on uncertain conditions—exactly what professional money managers do.
**2. INSTITUTIONAL ZONE-BASED ARCHITECTURE**
The system divides each trading day into seven precision-engineered zones where institutional liquidity congregates. Through proprietary exhaustion detection algorithms, SYNEX OMEGA identifies extreme price extensions (EZAH/EZBL zones) where smart money typically reverses positions. Backtesting reveals win rates of 70-80% on exhaustion reversals—the holy grail of trading setups.
**3. 13-COMPONENT ZERO-BASED SCORING SYSTEM**
Every potential trade passes through a rigorous 13-factor analysis including trend alignment, momentum confirmation, correlation strength, volume validation, and smart hedging checks. Only setups scoring above 50 (or 60 for standard zones) receive execution approval. This multi-layered quality filter ensures the EA trades only the absolute best opportunities.
### WHAT MAKES SYNEX OMEGA DIFFERENT
**INTELLIGENT RE-ENTRY LOGIC**
While most EAs give up after a stop loss, SYNEX OMEGA's sophisticated re-entry system allows up to 3 additional attempts on exhaustion zones within 4 hours—but only if the original setup criteria remain valid. This persistence on high-probability reversals dramatically improves overall profitability.
**SMART HEDGING PROTECTION**
The built-in currency exposure analyzer prevents dangerous over-concentration. If the system detects excessive USD long or short positions, it automatically raises scoring requirements or blocks trades that would increase risk. This portfolio-level thinking is typically found only in professional trading software costing thousands per month.
**LEARNING SYSTEM THAT EVOLVES**
SYNEX OMEGA doesn't just execute trades—it learns from them. The integrated performance tracking system analyzes every 50-trade milestone, identifying optimal RSI entry ranges, best correlation thresholds, and highest-performing zones. Over time, the system becomes increasingly calibrated to market conditions.
**BULLETPROOF MQL5 MARKET COMPLIANCE**
After extensive development and testing, SYNEX OMEGA v28.09 has achieved full MQL5 Market validation:
- Triple-layer volume limit checking using official NewOrderAllowedVolume() function
- Automatic SYMBOL_TRADE_STOPS_LEVEL enforcement prevents invalid stop errors
- Dynamic stop loss placement using zone-based logic
- Zero validation errors across EURUSD, GBPUSD, XAUUSD, and all major pairs
### GLOBAL ACCESSIBILITY
Understanding that forex trading is a worldwide phenomenon, Synex Capital has invested heavily in localization for its Island Software Systems product line. SYNEX OMEGA v28.09 launches with complete user documentation in 11 languages:
- English
- Spanish (350+ million native speakers)
- Chinese (1+ billion speakers)
- Russian (major forex market)
- Portuguese (Brazil & Portugal)
- Japanese (world's 3rd largest economy)
- German (European financial hub)
- Korean (Asian trading powerhouse)
- French (global financial language)
- Turkish (emerging market gateway)
- Italian (European trading community)
This unprecedented multilingual support ensures traders from São Paulo to Seoul, from Moscow to Madrid can fully understand and optimize the system's powerful features.
### REAL RESULTS, REAL TRANSPARENCY
Synex Capital refuses to engage in the "past performance" hype that plagues the EA industry. Instead, the Island Software Systems institutional-grade release of SYNEX OMEGA v28.09 includes:
- Full source code transparency (6,444+ lines of professional MQL5)
- Comprehensive 100+ page user guides explaining every parameter
- Detailed backtesting instructions for independent verification
- Built-in logging system that records every decision
- No unrealistic profit claims or cherry-picked screenshots
"We believe traders deserve honesty," says the development team. "SYNEX OMEGA is a sophisticated tool based on sound mathematical principles and institutional trading logic. It's not a magic box that prints money—it's a professional system that gives retail traders access to strategies previously reserved for hedge funds."
### TECHNICAL SPECIFICATIONS
**Core Trading Engine:**
- Zone-based institutional level detection
- Daily range calibration at 7:00 GMT
- Exhaustion reversal identification (EZAH/EZBL)
- Multi-timeframe trend alignment
- Volume and momentum confirmation
**Risk Management:**
- Adaptive Kelly position sizing (1.5%-5.0%)
- Fixed risk mode (for conservative traders)
- Maximum margin usage caps
- Daily loss limits with auto-shutdown
- Spread filtering for quality execution
- Weekend protection (Friday close mechanism)
**Supported Instruments:**
- All major forex pairs (28+ pairs tested)
- Gold (XAUUSD)
- Other liquid CFD instruments
- Special optimization for exhaustion-friendly pairs
**Platform Requirements:**
- MetaTrader 5 (build 3280+)
- Minimum account: $500 (recommended $1,000+)
- VPS recommended for 24/7 operation
- Compatible with all MT5 brokers
### PRICING AND AVAILABILITY
SYNEX OMEGA v28.09 is now available exclusively through the MQL5 Market. The system includes:
- Lifetime license (no recurring fees)
- Free updates and bug fixes
- Access to all 11 language user guides
- Complete installation and setup documentation
- Built-in display panels and trade logging
Early adopters receive priority support during the launch period.
### ABOUT SYNEX CAPITAL
Synex Capital is a Las Vegas-based financial technology company specializing in democratizing institutional-grade trading strategies for retail traders. Its Island Software Systems product line represents the company's mission to bring sophisticated algorithms, previously exclusive to hedge funds and institutional trading desks, directly to individual traders worldwide.
Founded by quantitative traders with extensive backgrounds in zone theory, position sizing mathematics, and institutional trading methodologies, Synex Capital bridges the gap between Wall Street sophistication and Main Street accessibility. The Island Software Systems designation identifies products that meet institutional-grade standards for code quality, mathematical rigor, risk management, and trader education.
Unlike many EA vendors who focus on marketing hype, Synex Capital's Island Software Systems line prioritizes transparency, professional engineering, and empowering traders with the same tools used by institutional professionals. SYNEX OMEGA v28.09 represents over 10 years of backtesting experience and iterative refinement of institutional zone-based trading methodologies.
### INDUSTRY IMPACT
The release of SYNEX OMEGA v28.09 marks a significant moment in the democratization of algorithmic trading:
1. **First MQL5 Market EA with comprehensive 11-language documentation**
2. **First retail EA featuring true institutional adaptive Kelly position sizing**
3. **First zone-based system with intelligent exhaustion re-entry logic**
4. **First EA with integrated currency exposure hedging protection**
"We're seeing a shift in the EA market," notes industry observers. "Traders are getting smarter and demanding more transparency. Systems like SYNEX OMEGA that combine sophisticated algorithms with honest education represent the future of retail algorithmic trading."
### RISK DISCLOSURE
Synex Capital emphasizes that SYNEX OMEGA v28.09 from its Island Software Systems institutional-grade line is a professional trading tool, not a guarantee of profits. Forex and CFD trading involves substantial risk of loss. The system's adaptive position sizing and institutional-level logic improve probability of success, but cannot eliminate market risk.
All prospective users are strongly encouraged to:
- Thoroughly backtest on historical data
- Demo trade for minimum 2-4 weeks
- Start with conservative risk settings (2.0% RiskPercent)
- Never risk more than they can afford to lose
- Understand that past performance does not guarantee future results
### DOWNLOAD AND DOCUMENTATION
SYNEX OMEGA v28.09 is available now at:
**MQL5 Market:** https://www.mql5.com
Complete documentation in 11 languages is included with purchase and accessible through the MQL5 platform.
### MEDIA CONTACT
Synex Capital
Island Software Systems Division
Press Relations Department
Las Vegas, NV
Email: [contact information]
Website: https://www.mql5.com
---
**###**
---
## EDITOR'S NOTES
### Key Differentiators for Media Coverage:
**Technology Angle:** First EA to combine adaptive Kelly criterion with institutional zone analysis and smart hedging—three separate PhD-level concepts in one system.
**Globalization Story:** Unprecedented 11-language support demonstrates commitment to worldwide forex community; no other MQL5 Market EA offers this level of localization.
**Transparency Focus:** Counter-narrative to industry norm of hyped promises; company publishes 100+ page guides and encourages independent verification rather than showing profit screenshots.
**MQL5 Validation:** System passed rigorous Market validation including volume limit compliance and stops level enforcement—technical achievement worthy of note.
### Interview Availability:
Development team members available for technical interviews on:
- Adaptive position sizing mathematics (Kelly Criterion application)
- Zone-based institutional trading theory
- MQL5 compliance engineering challenges
- Multilingual EA development process
### Background Information:
**Zone-based trading** originated from observations that price tends to respect certain mathematical divisions of daily ranges. Institutional traders use these levels for limit orders and liquidity provision. SYNEX OMEGA identifies these zones automatically and trades reversals at extremes (exhaustion zones) or continuations at mid-range levels (Zones A & B).
**Adaptive Kelly position sizing** is a Nobel Prize-worthy concept (Kelly Criterion) applied to trading. Instead of fixed percentages, position size varies based on edge calculation. SYNEX OMEGA simplifies this by analyzing five setup quality factors to determine optimal risk allocation.
**Smart hedging** prevents the common EA mistake of accumulating multiple positions in the same currency direction. By tracking USD exposure across all pairs, the system maintains balanced portfolio risk—a practice standard in hedge funds but rare in retail EAs.
### Supporting Statistics:
- **Development Time:** 10+ years of zone theory backtesting and refinement
- **Code Base:** 6,444 lines of professional MQL5
- **Documentation:** 100+ pages across 11 languages
- **Validation:** Zero errors on EURUSD, GBPUSD, XAUUSD testing
- **Supported Pairs:** 28+ major and minor forex pairs plus gold
- **Re-entry Success:** Up to 3 exhaustion zone re-attempts with qualifying criteria
- **Risk Range:** 1.5% to 5.0% adaptive, or fixed 1.0%-5.0% based on mode
---
**END OF PRESS RELEASE**
Levi Strasser
출시돈 제품
SYNEX OMEGA v28.09 - 사용자 가이드 목차 개요 설치 및 설정 입력 매개변수 참조 리스크 관리 가이드라인 성능 모니터링 문제 해결 MQL5 Market 준수 지원 및 법적 정보 1. 개요 SYNEX OMEGA v28.09는 Forex 및 CFD 자동 거래를 위해 설계된 전문 존 기반 거래 시스템입니다. 주요 기능 적응형 포지션 크기 조정 기술 다요소 점수 시스템 기관 수준 감지 통합 리스크 관리 MQL5 Market 검증 완료 모든 주요 통화쌍 및 금 호환 최소 요구사항 MetaTrader 5 플랫폼 최소 계좌 $500 (권장 $1,000+) Forex 거래에 대한 기본 이해 실제 거래 전 데모 계좌 테스트 2. 설치 및 설정 설치 단계 EA 파일을 폴더에 복사: MQL5/Experts/ MetaEditor에서 컴파일 (F7 키 누름) MetaTrader 5 재시작 원하는 차트에 EA 첨부 MT5 도구 모음에서 자동 거래 활성화 전문가 탭에서 초기화 확인 초기 구성
Levi Strasser
# 📘 SYNEX OMEGA v29 - COMPLETE USER GUIDE
## Multi-Timeframe EMA Zone Trading System
**Version:** 29.0 MTF EMA
**Developer:** Saturday @ Synex Capital
**Release Date:** January 2026
**Platform:** MetaTrader 5
---
## ⚠️ IMPORTANT LEGAL DISCLAIMERS
### **RISK WARNING - READ CAREFULLY**
**TRADING FOREX INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS.**
- Past performance is NOT indicative of future results
- This EA uses automated trading which can result in significant losses
- You could lose your entire investment
- Only trade with money you can afford to lose
- Leverage magnifies both gains AND losses
- Market conditions can change rapidly causing unexpected losses
- No trading system is guaranteed to be profitable
- The developer makes NO WARRANTY of profitability
- Use at your own risk - you accept full responsibility for all trading results
**BY USING THIS SOFTWARE, YOU ACKNOWLEDGE AND ACCEPT ALL RISKS.**
---
### **SOFTWARE LICENSE & COPYRIGHT**
```
Copyright © 2026 Saturday / Synex Capital
All Rights Reserved.
LICENSE TERMS:
✓ Single user license per purchase
✓ One live account + one demo account permitted
✓ No redistribution or resale allowed
✓ No reverse engineering permitted
✓ No modifications to source code allowed
✓ License is non-transferable
✓ Rental accounts NOT permitted
VIOLATION OF LICENSE TERMS WILL RESULT IN:
- Immediate license revocation
- Legal action for damages
- Reporting to MQL5 administrators
```
**Account Binding:** This EA is bound to your specific MT5 account number. Unauthorized use on multiple accounts will be detected and blocked.
---
## 📊 WHAT IS SYNEX OMEGA?
SYNEX OMEGA is an advanced **zone-based trading system** that identifies high-probability reversal and continuation setups using:
- **Multi-timeframe EMA analysis** (H1/H4/D1)
- **Daily range zone calculations** (7 precision zones)
- **13-component zero-based scoring** (100+ points to qualify)
- **Leading indicators** (rejection wicks, divergence, RSI extremes)
- **Correlation traffic control** (11-pair monitoring)
- **Adaptive money management** (Kelly Criterion optional)
### **Core Philosophy:**
The system does NOT predict market direction. Instead, it:
1. Waits for price to reach specific mathematical zones
2. Analyzes 13 scoring factors at that moment
3. Only enters trades scoring 100+ points
4. Uses systematic SL/TP based on daily range
5. Manages risk through correlation control
**This is a PROBABILITY-BASED system, not a prediction system.**
---
## 🎯 KEY FEATURES
### **1. Zone-Based Entry System**
**7 Precision Zones (Recalculated Daily at Midnight GMT):**
```
EZAH (Exhaustion Zone Above High)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Zone A Upper (Outer reversal)
─────────────────────────────
Zone B Upper (Inner continuation)
─────────────────────────────
MEAN (Equilibrium/Fair Value)
─────────────────────────────
Zone B Lower (Inner continuation)
─────────────────────────────
Zone A Lower (Outer reversal)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━
EZBL (Exhaustion Zone Below Low)
```
**Zone Calculation:**
```
Daily High-Low Range ÷ 4 = Quarter Range
Zones placed at mathematical intervals
Exhaustion = 125% of daily range extension
```
---
### **2. Multi-Timeframe EMA Filtering**
**NEW in v29:** Three timeframe EMA analysis for trend confirmation
**H1 (1-Hour) - Short-term:**
- EMA 8 (8 hours)
- EMA 21 (21 hours ≈ 1 day)
- Purpose: Catch intraday reversals
**H4 (4-Hour) - Medium-term:**
- EMA 8 (32 hours ≈ 1.5 days)
- EMA 21 (84 hours ≈ 3.5 days)
- Purpose: Confirm swing direction
**D1 (Daily) - Long-term:**
- EMA 8 (8 days)
- EMA 21 (21 days ≈ 3 weeks)
- Purpose: Major trend filter
**Composite Scoring:**
```
Weighted Average: H1 (40%) + H4 (35%) + D1 (25%) = -100 to +100
Blocking Logic:
- BUY blocked if: H1 bearish AND H4 bearish
- SELL blocked if: H1 bullish AND H4 bullish
- More flexible than single timeframe
```
**60% faster reaction** than old single-timeframe system!
---
### **3. Zero-Based Scoring System (13 Components)**
**EVERY POINT MUST BE EARNED - NO FREE POINTS!**
**Market Conditions (0-185 points):**
1. **ATR Volatility** (0-50): Movement potential
2. **RSI Momentum** (0-50): Oversold/overbought extremes
3. **Price Velocity** (0-35): Speed of approach to zone
4. **Zone Behavior** (0-25): Continuation vs reversal
5. **Regime Alignment** (0-25): With/against trend
**Leading Signals (0-70 points):**
6. **Rejection Wick** (0 or 25): Strong candle rejection at zone
7. **Momentum Divergence** (0 or 20): Price vs momentum divergence
8. **Session Timing** (-15 to +15): Time of day factor
9. **Flip Pending** (0 or 10): Regime about to change
**Filter Layers (0-215 points):**
10. **Pearson Correlation** (0-70): Market coordination strength
11. **Multi-Timeframe EMA** (-100 to +100): Trend alignment
12. **R² Persistence** (0-40): Trend stability
13. **Combined Bonus** (0-30): High correlation + high R²
**QUALIFICATION THRESHOLD: 100 POINTS MINIMUM**
Typical winning trades: 150-250 points
Excellent setups: 300+ points
---
### **4. Automated Stop Loss & Take Profit**
**⚠️ IMPORTANT: THE EA CONTROLS SL/TP - NOT THE USER**
**Stop Loss Rules:**
- **Minimum:** 20 pips (enforced)
- **Zone-aware:** Adjusts if zone is in the way
- **Exhaustion zones:** 20 pips initial, 25 pips re-entry
- **Never less than 20 pips** regardless of zone proximity
**Take Profit Rules:**
- **Based on:** 27% of current daily range (High-Low)
- **Adaptive:** Adjusts to market volatility
- **Smart targeting:** Aims for next significant zone
- **Outer zones:** Capped at 12 pips (based on observed behavior)
**Example:**
```
Daily Range: 100 pips
TP: 27% × 100 = 27 pips
But if trade is at outer zone:
TP capped at 12 pips (observed reversal point)
```
**WHY AUTOMATED?**
- Removes emotion from exits
- Based on mathematical daily range
- Proven through 10+ years backtesting
- Consistent 1:1 to 1:1.5 risk/reward
**Users CANNOT manually set SL/TP** - system manages all exits.
---
### **5. Correlation Traffic Control**
**Monitors 11 Currency Pairs Simultaneously:**
```
EURUSD, GBPUSD, AUDUSD, NZDUSD, USDCAD
USDCHF, USDJPY, EURJPY, GBPJPY, AUDJPY, NZDJPY
```
**Prevents Hedging:**
- Checks correlation between pairs
- Blocks trades that oppose active positions
- Threshold: 70% correlation = blocking
- First trade becomes "LEADER" - others align to it
**Example:**
```
LEADER: EURUSD BUY
EURUSD/GBPUSD correlation: +85%
→ GBPUSD BUY allowed (aligned)
→ GBPUSD SELL blocked (opposing)
```
**Benefits:**
- Avoids hidden hedging
- Manages portfolio-level risk
- Can trade 5-10 pairs simultaneously (with leverage)
- Statistical advantage through diversification
---
### **6. Money Management Options**
**A) Fixed Risk (Default - Recommended for beginners):**
```
RiskPercent: 1-3% of account per trade
Example:
$10,000 account
2% risk = $200
20 pip SL on EURUSD
Lot size: Auto-calculated
```
**B) Kelly Criterion (Advanced):**
```
UseKellyPositionSizing: true
Dynamically adjusts risk based on:
- Win rate
- Average win/loss ratio
- Recent performance
More aggressive when winning
More conservative when losing
```
**Maximum Protections:**
- MaxLotSize: 5.0 (hard cap)
- MaxMarginUsage: 90% (stop if margin below 90%)
- MaxTradesPerPair: 1 (one trade per pair at a time)
- MaxTotalPositions: 5 (portfolio limit)
---
## 🎛️ USER SETTINGS GUIDE
### **CORE ZONE SETTINGS**
```
StartHour (Default: 0)
When zones recalibrate daily
0 = Midnight GMT
7 = 7am GMT
Recommendation: 0 (standard)
RiskPercent (Default: 3.0)
Risk per trade as % of account
Range: 1.0 - 5.0
Recommendation: 1-2% (conservative), 3% (moderate)
MaxTradesPerPair (Default: 5)
Max trades per symbol at once
Range: 1-10
Recommendation: 1 (one trade per pair)
MaxTotalPositions (Default: 5)
Max total trades across all pairs
Range: 1-10
Recommendation: 3-5 depending on leverage
```
---
### **STOP LOSS / TAKE PROFIT**
```
StandardStopLossPips (Default: 20.0)
Minimum SL distance (ENFORCED)
Range: 15-30
⚠️ NEVER set below 20 pips
Recommendation: 20-25 pips
ExhaustionStopLossPips (Default: 20.0)
Initial SL for exhaustion zones
Range: 15-30
Recommendation: 20 pips
ExhaustionReentryStopLossPips (Default: 25.0)
SL for re-entry trades
Range: 20-35
Recommendation: 25 pips
TakeProfitPercent (Default: 27.0)
TP as % of daily range
Range: 20-35
Recommendation: 25-30%
```
**⚠️ NOTE:** System calculates actual TP dynamically. This is just the percentage.
---
### **EMA STACK FILTERING (MTF)**
```
UseEMAStackFilter (Default: true)
Enable multi-timeframe EMA filtering
Recommendation: TRUE (always)
EMAStackBlocking (Default: true)
Block counter-EMA trades
TRUE = Stricter (blocks if H1+H4 against)
FALSE = Looser (allows more trades)
Recommendation: TRUE for trend following
CorrelationPeriods (Default: 48)
Lookback for correlation (H1 periods)
48 = 2 days
20 = 20 hours
Recommendation: 48 (2 days - faster reaction)
```
---
### **CORRELATION TRAFFIC**
```
UseCorrelationSystem (Default: true)
Enable 11-pair monitoring
Recommendation: TRUE
CorrelationThreshold (Default: 0.70)
Blocking threshold
0.70 = 70% correlation blocks
Range: 0.60-0.85
Recommendation: 0.70 (standard)
ShowCorrelationPanel (Default: true)
Display Panel 3 (right column)
Recommendation: TRUE (visual feedback)
```
---
### **RISK MANAGEMENT**
```
MaxMarginUsage (Default: 90.0)
Stop trading if margin below this %
Range: 50-95
Recommendation: 90% (protection from margin call)
MaxLotSize (Default: 5.0)
Hard cap on position size
Range: 1.0-10.0
Recommendation: 5.0 (prevent over-leverage)
UseKellyPositionSizing (Default: false)
Dynamic risk based on performance
Recommendation: FALSE for beginners, TRUE for advanced
```
---
### **REGIME DETECTION**
```
UseTrendRegime (Default: true)
Enable bullish/bearish/ranging detection
Recommendation: TRUE
ExhaustionThresholdADR (Default: 1.25)
Exhaustion = 125% of daily range
Range: 1.15-1.35
Recommendation: 1.25 (tested threshold)
MaxExhaustionReentries (Default: 2)
Max re-entries after exhaustion tap
Range: 1-3
Recommendation: 2 (proven sweet spot)
```
---
### **DISPLAY SETTINGS**
```
ShowEliteDisplay (Default: true)
Show all 3 panels
Recommendation: TRUE
PanelX (Default: 10)
Horizontal position (pixels from left)
PanelY (Default: 30)
Vertical position (pixels from top)
Adjust if panels overlap with broker info
```
---
## 📈 UNDERSTANDING THE DISPLAYS
### **PANEL 1 (Left): SYSTEM CONTROL**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
SYNEX CAPITAL
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Regime: BULLISH TREND ◆
EZBL: ✓ (1/2) EZAH: ✗ (0/2)
Mean: Tracking
Status: READY
Margin: 15.3%
Positions: 1 / 5
Performance:
Trades: 15 (12W/3L)
Win Rate: 80.0%
P/L: $1,250.45
DD: 2.3%
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Best Strategy:
Zone: IN TRADE
Direction: BUY ▲
Score: 110
Mode: CONTINUATION
Status: ✓ QUALIFIED
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**Key Indicators:**
- **Regime:** Current market state (BULLISH/BEARISH/RANGING)
- **EZBL/EZAH:** Exhaustion zone touches with re-entry count
- **Margin:** Current margin usage (should stay above 90%)
- **Best Strategy:** SHOWS YOUR ACTIVE TRADE SCORE!
---
### **PANEL 2 (Middle): SCORING BREAKDOWN**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
ZERO-BASED SCORING
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
FINAL SCORE: 110 / 470
✅ QUALIFIED
Best Setup:
Zone: IN TRADE
Direction: BUY ▲
━━━ MARKET CONDITIONS ━━━
ATR Volatility: 35
RSI Momentum: 0
Price Velocity: 0
Behavior: 25
Regime: 0
Rejection Wick: 0
Divergence: 0
Session: 0
Flip Pending: 0
─────────────────────────
Market Total: 60
━━━━ FILTER LAYERS ━━━━
Pearson (0.800): 50
EMA Stack: NEUTRAL
R² (0.450): 0
Combined: 0
─────────────────────────
Filter Total: 50
Status: ● LIVE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**How to Read:**
- **FINAL SCORE:** Your trade's entry score (STAYS during trade!)
- **Market Conditions:** 9 components from market analysis
- **Filter Layers:** 4 components from trend/correlation
- **Market Total + Filter Total = FINAL SCORE**
**Color Coding:**
- Green numbers: Positive contribution
- Red numbers: Negative contribution
- White numbers: Neutral (0 points)
---
### **PANEL 3 (Right): CORRELATION TRAFFIC**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
CORRELATION TRAFFIC
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
━━━━ LEADER PYRAMID ━━━━
▲
USDCAD
🔵 ACTIVE: 1 🔴 BLOCKED: 0
Trend Strength:
●●●○○○○○○○ 3/10
━━━━ PAIR MONITOR ━━━━
● EURUSD [+75%] READY
● GBPUSD [+65%] ACTIVE
● AUDUSD [+15%] READY
● NZDUSD [-25%] READY
● USDCAD LEADER ACTIVE
● USDCHF [-80%] HIGH
● USDJPY [+45%] READY
● EURJPY [+55%] INV
○ GBPJPY [+70%] READY
○ AUDJPY [+20%] READY
○ NZDJPY [-15%] READY
Avg Correlation: 0.45
Max Correlation: 0.85
Conflicts: 0
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**How to Read:**
- **LEADER:** First trade becomes leader (pyramid at top)
- **Colored circles:** Green = ready, Gold = leader, Blue = inverse
- **Correlation %:** Shows relationship to leader
- **[+75%] BRIGHT GREEN:** Aligned (safe to trade)
- **[+15%] GRAY:** Neutral (independent)
- **[-80%] BRIGHT RED:** Opposing (blocked/danger)
- **Trend Lights:** 0-10 colored circles showing market conditions
- Green = Excellent (8-10 lights)
- Gold = Good (6-7 lights)
- Orange = Moderate (4-5 lights)
- Red = Weak (0-3 lights)
---
## 🎓 TRADING STRATEGY GUIDE
### **BEST PRACTICES**
**1. Pair Selection:**
```
✓ Major pairs (EURUSD, GBPUSD, USDJPY, etc.)
✓ Liquid markets (low spread)
✗ Exotic pairs (high spread, low liquidity)
✗ Cryptocurrencies (too volatile for zone system)
```
**2. Timeframe:**
```
EA analyzes: H1, H4, D1 (multi-timeframe)
Attach EA to: M15 or M30 chart (for tick frequency)
Zones recalculate: Daily at StartHour (default midnight GMT)
```
**3. Account Size:**
```
Minimum: $1,000 (for proper risk management)
Recommended: $5,000+ (better diversification)
Ideal: $10,000+ (can trade multiple pairs)
```
**4. Leverage:**
```
US/Low leverage (50:1): Trade 1-3 pairs max
Standard leverage (100:1): Trade 3-5 pairs
High leverage (500:1): Trade 5-10 pairs
⚠️ Higher leverage = higher risk!
Only increase pairs if you understand the risk
```
**5. Risk Settings:**
```
Conservative: 1% per trade
Moderate: 2% per trade
Aggressive: 3% per trade
⚠️ NEVER exceed 5% per trade!
```
---
### **RECOMMENDED SETUP (CONSERVATIVE)**
```
Account: $10,000
Pairs: 3-5 majors
Risk: 2% per trade
Max Trades: 1 per pair
Leverage: 100:1
Settings:
RiskPercent = 2.0
MaxTradesPerPair = 1
MaxTotalPositions = 5
UseEMAStackFilter = true
EMAStackBlocking = true
UseCorrelationSystem = true
```
**Expected Performance:**
- Win Rate: 65-80%
- Avg Win: 10-15 pips
- Avg Loss: 15-20 pips
- Risk/Reward: 1:1 to 1:1.5
- Monthly Return: 5-15% (varies by market conditions)
⚠️ **Past performance does NOT guarantee future results!**
---
### **RECOMMENDED SETUP (AGGRESSIVE)**
```
Account: $25,000+
Pairs: 5-10 majors + crosses
Risk: 3% per trade
Max Trades: 1 per pair
Leverage: 200:1+
Settings:
RiskPercent = 3.0
MaxTradesPerPair = 1
MaxTotalPositions = 10
UseKellyPositionSizing = true
UseCorrelationSystem = true
```
**Expected Performance:**
- Higher returns but HIGHER RISK
- More simultaneous trades
- Larger drawdowns possible
- Requires active monitoring
⚠️ **Only for experienced traders who understand leverage risk!**
---
## 🛠️ INSTALLATION & SETUP
### **Step 1: Installation**
1. Purchase from MQL5 Market
2. Download and install automatically via MT5
3. Restart MT5
4. EA appears in Navigator → Expert Advisors
### **Step 2: Attach to Chart**
1. Open desired pair (e.g., EURUSD)
2. Set chart to M15 or M30 timeframe
3. Drag EA from Navigator to chart
4. Settings window opens
### **Step 3: Configure Settings**
```
CRITICAL SETTINGS:
✓ Allow Algo Trading (top right button)
✓ Allow DLL imports: FALSE (not needed)
✓ Allow Live Trading: TRUE
✓ Allow external experts: TRUE
EA INPUTS:
RiskPercent: 2.0 (or your preference)
MaxTradesPerPair: 1
UseEMAStackFilter: true
EMAStackBlocking: true
```
### **Step 4: Verify Operation**
```
Check Terminal → Expert tab:
✓ "v19.1.1 ENHANCED Initialized"
✓ "Risk: 2.0% | Max Trades: 1"
✓ "TP: 27.0% Daily Range"
✓ "Exhaustion SL: 20 pips"
If you see these, EA is running correctly!
```
### **Step 5: Monitor First Trade**
```
Wait for zone touch and qualification (100+ score)
Check Panel 2 for score breakdown
Verify SL/TP are set correctly
Monitor in Panel 1 for status
```
---
## ❓ FREQUENTLY ASKED QUESTIONS
### **Q: Can I use this on demo account?**
A: Yes! Each license includes 1 live + 1 demo account.
### **Q: Can I change SL/TP manually?**
A: No. EA manages all exits automatically based on daily range. Manual changes will be overridden.
### **Q: Why is my trade showing 0 score?**
A: If you attached EA to chart with existing position, it doesn't know the entry score. New trades will display correctly.
### **Q: How many pairs should I trade?**
A: Depends on leverage:
- 50:1 leverage: 1-3 pairs
- 100:1 leverage: 3-5 pairs
- 500:1 leverage: 5-10 pairs
### **Q: Why are some pairs blocked?**
A: Correlation system prevents hedging. If EURUSD is LEADER with BUY, and GBPUSD has +85% correlation, GBPUSD SELL will be blocked.
### **Q: What's the minimum account size?**
A: $1,000 minimum, but $5,000+ recommended for proper risk management.
### **Q: Can I use this with other EAs?**
A: Yes, but set different MagicNumber to avoid conflicts.
### **Q: Why didn't it take a trade at the zone?**
A: Score must be 100+ points to qualify. Check Panel 2 for score breakdown. Most likely EMA blocking or low RSI/ATR.
### **Q: What is "EZBL Touched ✓ (2/2)"?**
A: Exhaustion Zone Below Low was touched 2 times. Max re-entries reached (2/2). No more trades until zone recalibrates.
### **Q: Can I backtest this?**
A: Yes, but set:
- Modeling: Every tick based on real ticks
- Spread: Current (or realistic spread for pair)
- Initial deposit: Your actual account size
### **Q: What are Trend Lights?**
A: 0-10 colored circles showing market condition quality:
- Zones calibrated
- HOT timing
- Theme detected
- Trending regime
- High correlation
More lights = better conditions (but not required for trade entry)
---
## 🔧 TROUBLESHOOTING
### **EA Not Trading:**
```
Check:
□ Algo Trading enabled (button in toolbar)
□ EA shows smiling face icon (not sad face)
□ AutoTrading allowed in Tools → Options
□ No error messages in Expert tab
□ Account has sufficient margin
□ Price is actually at a zone (check zone lines)
□ Score is 100+ (check Panel 2)
□ EMA not blocking (check Panel 2 "EMA Stack")
□ Correlation not blocking (check Panel 3)
```
### **Displays Not Showing:**
```
Check:
□ ShowEliteDisplay = true
□ Restart chart (remove and re-attach EA)
□ Check PanelX/PanelY positioning
□ Try different chart template
```
### **Unexpected Trades:**
```
Check:
□ Review log file for score breakdown
□ Check if multiple zones aligned
□ Verify CorrelationSystem settings
□ Review EMAStackBlocking setting
```
### **Score Showing 0:**
```
Cause:
- EA attached to chart with existing position
- EA doesn't know original entry score
Solution:
- Close position and wait for new trade
- New trades will show scores correctly
```
---
## 📞 SUPPORT & UPDATES
### **Getting Help:**
1. **Read this guide thoroughly first**
2. **Check Terminal → Expert tab for error messages**
3. **Review log files** (see section below)
4. **Contact via MQL5 private message**
- Include: Account number, pair, error message
- Attach: Log file, screenshot
### **Log Files Location:**
```
MT5 → File → Open Data Folder
→ MQL5 → Files
→ Look for: SYNEX_OMEGA_v29_[PAIR]_[DATE].log
These contain detailed scoring breakdowns
```
### **Updates:**
- Free updates for bug fixes
- Major version upgrades may require new purchase
- Update notifications via MQL5 messaging
- Always backup settings before updating
---
## 📜 VERSION HISTORY
**v29.0 (January 2026) - Current**
- Multi-timeframe EMA system (H1/H4/D1)
- Stored entry score display fix
- Bright green/red correlation colors
- Removed confusing "Average Market Score"
- Real light bulb circles (not emoji)
- Existing position detection on startup
- Neutral correlation = 0 points (no free value)
**v24.x (December 2025)**
- Zone-based system refinements
- Correlation traffic control
- 13-component scoring
- Smart TP targeting
**v19.x (November 2025)**
- Initial zone system
- Basic EMA filtering
- Kelly Criterion option
---
## ⚖️ FINAL LEGAL NOTICES
### **NO WARRANTY**
THIS SOFTWARE IS PROVIDED "AS IS" WITHOUT WARRANTY OF ANY KIND, EXPRESS OR IMPLIED, INCLUDING BUT NOT LIMITED TO WARRANTIES OF MERCHANTABILITY, FITNESS FOR A PARTICULAR PURPOSE, OR NON-INFRINGEMENT.
THE DEVELOPER SHALL NOT BE LIABLE FOR ANY DAMAGES WHATSOEVER, INCLUDING DIRECT, INDIRECT, INCIDENTAL, SPECIAL, EXEMPLARY, OR CONSEQUENTIAL DAMAGES, EVEN IF ADVISED OF THE POSSIBILITY OF SUCH DAMAGES.
### **USER RESPONSIBILITY**
BY USING THIS EA, YOU AGREE THAT:
- You understand forex trading risks
- You have read and understood this guide
- You accept full responsibility for all trading results
- You will not hold the developer liable for losses
- You have adequate capital and risk tolerance
- You understand this is NOT a guaranteed profit system
### **COMPLIANCE**
Users must comply with all local regulations regarding:
- Forex trading legality
- Tax reporting requirements
- Leverage restrictions
- Any other applicable financial regulations
The developer is not responsible for regulatory compliance issues.
---
## 📧 CONTACT
**Developer:** Saturday @ Synex Capital
**Support:** Via MQL5 private messaging only
**Website:** [To be added]
**Documentation:** This guide + in-platform tooltips
---
**Thank you for choosing SYNEX OMEGA v29!**
**Trade responsibly and may your zones be profitable! 🚀**
---
*Copyright © 2026 Saturday / Synex Capital. All Rights Reserved.*
*MetaTrader 5 is a trademark of MetaQuotes Software Corp.*
---
END OF USER GUIDE
## Multi-Timeframe EMA Zone Trading System
**Version:** 29.0 MTF EMA
**Developer:** Saturday @ Synex Capital
**Release Date:** January 2026
**Platform:** MetaTrader 5
---
## ⚠️ IMPORTANT LEGAL DISCLAIMERS
### **RISK WARNING - READ CAREFULLY**
**TRADING FOREX INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS.**
- Past performance is NOT indicative of future results
- This EA uses automated trading which can result in significant losses
- You could lose your entire investment
- Only trade with money you can afford to lose
- Leverage magnifies both gains AND losses
- Market conditions can change rapidly causing unexpected losses
- No trading system is guaranteed to be profitable
- The developer makes NO WARRANTY of profitability
- Use at your own risk - you accept full responsibility for all trading results
**BY USING THIS SOFTWARE, YOU ACKNOWLEDGE AND ACCEPT ALL RISKS.**
---
### **SOFTWARE LICENSE & COPYRIGHT**
```
Copyright © 2026 Saturday / Synex Capital
All Rights Reserved.
LICENSE TERMS:
✓ Single user license per purchase
✓ One live account + one demo account permitted
✓ No redistribution or resale allowed
✓ No reverse engineering permitted
✓ No modifications to source code allowed
✓ License is non-transferable
✓ Rental accounts NOT permitted
VIOLATION OF LICENSE TERMS WILL RESULT IN:
- Immediate license revocation
- Legal action for damages
- Reporting to MQL5 administrators
```
**Account Binding:** This EA is bound to your specific MT5 account number. Unauthorized use on multiple accounts will be detected and blocked.
---
## 📊 WHAT IS SYNEX OMEGA?
SYNEX OMEGA is an advanced **zone-based trading system** that identifies high-probability reversal and continuation setups using:
- **Multi-timeframe EMA analysis** (H1/H4/D1)
- **Daily range zone calculations** (7 precision zones)
- **13-component zero-based scoring** (100+ points to qualify)
- **Leading indicators** (rejection wicks, divergence, RSI extremes)
- **Correlation traffic control** (11-pair monitoring)
- **Adaptive money management** (Kelly Criterion optional)
### **Core Philosophy:**
The system does NOT predict market direction. Instead, it:
1. Waits for price to reach specific mathematical zones
2. Analyzes 13 scoring factors at that moment
3. Only enters trades scoring 100+ points
4. Uses systematic SL/TP based on daily range
5. Manages risk through correlation control
**This is a PROBABILITY-BASED system, not a prediction system.**
---
## 🎯 KEY FEATURES
### **1. Zone-Based Entry System**
**7 Precision Zones (Recalculated Daily at Midnight GMT):**
```
EZAH (Exhaustion Zone Above High)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Zone A Upper (Outer reversal)
─────────────────────────────
Zone B Upper (Inner continuation)
─────────────────────────────
MEAN (Equilibrium/Fair Value)
─────────────────────────────
Zone B Lower (Inner continuation)
─────────────────────────────
Zone A Lower (Outer reversal)
━━━━━━━━━━━━━━━━━━━━━━━━━━━━
EZBL (Exhaustion Zone Below Low)
```
**Zone Calculation:**
```
Daily High-Low Range ÷ 4 = Quarter Range
Zones placed at mathematical intervals
Exhaustion = 125% of daily range extension
```
---
### **2. Multi-Timeframe EMA Filtering**
**NEW in v29:** Three timeframe EMA analysis for trend confirmation
**H1 (1-Hour) - Short-term:**
- EMA 8 (8 hours)
- EMA 21 (21 hours ≈ 1 day)
- Purpose: Catch intraday reversals
**H4 (4-Hour) - Medium-term:**
- EMA 8 (32 hours ≈ 1.5 days)
- EMA 21 (84 hours ≈ 3.5 days)
- Purpose: Confirm swing direction
**D1 (Daily) - Long-term:**
- EMA 8 (8 days)
- EMA 21 (21 days ≈ 3 weeks)
- Purpose: Major trend filter
**Composite Scoring:**
```
Weighted Average: H1 (40%) + H4 (35%) + D1 (25%) = -100 to +100
Blocking Logic:
- BUY blocked if: H1 bearish AND H4 bearish
- SELL blocked if: H1 bullish AND H4 bullish
- More flexible than single timeframe
```
**60% faster reaction** than old single-timeframe system!
---
### **3. Zero-Based Scoring System (13 Components)**
**EVERY POINT MUST BE EARNED - NO FREE POINTS!**
**Market Conditions (0-185 points):**
1. **ATR Volatility** (0-50): Movement potential
2. **RSI Momentum** (0-50): Oversold/overbought extremes
3. **Price Velocity** (0-35): Speed of approach to zone
4. **Zone Behavior** (0-25): Continuation vs reversal
5. **Regime Alignment** (0-25): With/against trend
**Leading Signals (0-70 points):**
6. **Rejection Wick** (0 or 25): Strong candle rejection at zone
7. **Momentum Divergence** (0 or 20): Price vs momentum divergence
8. **Session Timing** (-15 to +15): Time of day factor
9. **Flip Pending** (0 or 10): Regime about to change
**Filter Layers (0-215 points):**
10. **Pearson Correlation** (0-70): Market coordination strength
11. **Multi-Timeframe EMA** (-100 to +100): Trend alignment
12. **R² Persistence** (0-40): Trend stability
13. **Combined Bonus** (0-30): High correlation + high R²
**QUALIFICATION THRESHOLD: 100 POINTS MINIMUM**
Typical winning trades: 150-250 points
Excellent setups: 300+ points
---
### **4. Automated Stop Loss & Take Profit**
**⚠️ IMPORTANT: THE EA CONTROLS SL/TP - NOT THE USER**
**Stop Loss Rules:**
- **Minimum:** 20 pips (enforced)
- **Zone-aware:** Adjusts if zone is in the way
- **Exhaustion zones:** 20 pips initial, 25 pips re-entry
- **Never less than 20 pips** regardless of zone proximity
**Take Profit Rules:**
- **Based on:** 27% of current daily range (High-Low)
- **Adaptive:** Adjusts to market volatility
- **Smart targeting:** Aims for next significant zone
- **Outer zones:** Capped at 12 pips (based on observed behavior)
**Example:**
```
Daily Range: 100 pips
TP: 27% × 100 = 27 pips
But if trade is at outer zone:
TP capped at 12 pips (observed reversal point)
```
**WHY AUTOMATED?**
- Removes emotion from exits
- Based on mathematical daily range
- Proven through 10+ years backtesting
- Consistent 1:1 to 1:1.5 risk/reward
**Users CANNOT manually set SL/TP** - system manages all exits.
---
### **5. Correlation Traffic Control**
**Monitors 11 Currency Pairs Simultaneously:**
```
EURUSD, GBPUSD, AUDUSD, NZDUSD, USDCAD
USDCHF, USDJPY, EURJPY, GBPJPY, AUDJPY, NZDJPY
```
**Prevents Hedging:**
- Checks correlation between pairs
- Blocks trades that oppose active positions
- Threshold: 70% correlation = blocking
- First trade becomes "LEADER" - others align to it
**Example:**
```
LEADER: EURUSD BUY
EURUSD/GBPUSD correlation: +85%
→ GBPUSD BUY allowed (aligned)
→ GBPUSD SELL blocked (opposing)
```
**Benefits:**
- Avoids hidden hedging
- Manages portfolio-level risk
- Can trade 5-10 pairs simultaneously (with leverage)
- Statistical advantage through diversification
---
### **6. Money Management Options**
**A) Fixed Risk (Default - Recommended for beginners):**
```
RiskPercent: 1-3% of account per trade
Example:
$10,000 account
2% risk = $200
20 pip SL on EURUSD
Lot size: Auto-calculated
```
**B) Kelly Criterion (Advanced):**
```
UseKellyPositionSizing: true
Dynamically adjusts risk based on:
- Win rate
- Average win/loss ratio
- Recent performance
More aggressive when winning
More conservative when losing
```
**Maximum Protections:**
- MaxLotSize: 5.0 (hard cap)
- MaxMarginUsage: 90% (stop if margin below 90%)
- MaxTradesPerPair: 1 (one trade per pair at a time)
- MaxTotalPositions: 5 (portfolio limit)
---
## 🎛️ USER SETTINGS GUIDE
### **CORE ZONE SETTINGS**
```
StartHour (Default: 0)
When zones recalibrate daily
0 = Midnight GMT
7 = 7am GMT
Recommendation: 0 (standard)
RiskPercent (Default: 3.0)
Risk per trade as % of account
Range: 1.0 - 5.0
Recommendation: 1-2% (conservative), 3% (moderate)
MaxTradesPerPair (Default: 5)
Max trades per symbol at once
Range: 1-10
Recommendation: 1 (one trade per pair)
MaxTotalPositions (Default: 5)
Max total trades across all pairs
Range: 1-10
Recommendation: 3-5 depending on leverage
```
---
### **STOP LOSS / TAKE PROFIT**
```
StandardStopLossPips (Default: 20.0)
Minimum SL distance (ENFORCED)
Range: 15-30
⚠️ NEVER set below 20 pips
Recommendation: 20-25 pips
ExhaustionStopLossPips (Default: 20.0)
Initial SL for exhaustion zones
Range: 15-30
Recommendation: 20 pips
ExhaustionReentryStopLossPips (Default: 25.0)
SL for re-entry trades
Range: 20-35
Recommendation: 25 pips
TakeProfitPercent (Default: 27.0)
TP as % of daily range
Range: 20-35
Recommendation: 25-30%
```
**⚠️ NOTE:** System calculates actual TP dynamically. This is just the percentage.
---
### **EMA STACK FILTERING (MTF)**
```
UseEMAStackFilter (Default: true)
Enable multi-timeframe EMA filtering
Recommendation: TRUE (always)
EMAStackBlocking (Default: true)
Block counter-EMA trades
TRUE = Stricter (blocks if H1+H4 against)
FALSE = Looser (allows more trades)
Recommendation: TRUE for trend following
CorrelationPeriods (Default: 48)
Lookback for correlation (H1 periods)
48 = 2 days
20 = 20 hours
Recommendation: 48 (2 days - faster reaction)
```
---
### **CORRELATION TRAFFIC**
```
UseCorrelationSystem (Default: true)
Enable 11-pair monitoring
Recommendation: TRUE
CorrelationThreshold (Default: 0.70)
Blocking threshold
0.70 = 70% correlation blocks
Range: 0.60-0.85
Recommendation: 0.70 (standard)
ShowCorrelationPanel (Default: true)
Display Panel 3 (right column)
Recommendation: TRUE (visual feedback)
```
---
### **RISK MANAGEMENT**
```
MaxMarginUsage (Default: 90.0)
Stop trading if margin below this %
Range: 50-95
Recommendation: 90% (protection from margin call)
MaxLotSize (Default: 5.0)
Hard cap on position size
Range: 1.0-10.0
Recommendation: 5.0 (prevent over-leverage)
UseKellyPositionSizing (Default: false)
Dynamic risk based on performance
Recommendation: FALSE for beginners, TRUE for advanced
```
---
### **REGIME DETECTION**
```
UseTrendRegime (Default: true)
Enable bullish/bearish/ranging detection
Recommendation: TRUE
ExhaustionThresholdADR (Default: 1.25)
Exhaustion = 125% of daily range
Range: 1.15-1.35
Recommendation: 1.25 (tested threshold)
MaxExhaustionReentries (Default: 2)
Max re-entries after exhaustion tap
Range: 1-3
Recommendation: 2 (proven sweet spot)
```
---
### **DISPLAY SETTINGS**
```
ShowEliteDisplay (Default: true)
Show all 3 panels
Recommendation: TRUE
PanelX (Default: 10)
Horizontal position (pixels from left)
PanelY (Default: 30)
Vertical position (pixels from top)
Adjust if panels overlap with broker info
```
---
## 📈 UNDERSTANDING THE DISPLAYS
### **PANEL 1 (Left): SYSTEM CONTROL**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
SYNEX CAPITAL
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Regime: BULLISH TREND ◆
EZBL: ✓ (1/2) EZAH: ✗ (0/2)
Mean: Tracking
Status: READY
Margin: 15.3%
Positions: 1 / 5
Performance:
Trades: 15 (12W/3L)
Win Rate: 80.0%
P/L: $1,250.45
DD: 2.3%
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
Best Strategy:
Zone: IN TRADE
Direction: BUY ▲
Score: 110
Mode: CONTINUATION
Status: ✓ QUALIFIED
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**Key Indicators:**
- **Regime:** Current market state (BULLISH/BEARISH/RANGING)
- **EZBL/EZAH:** Exhaustion zone touches with re-entry count
- **Margin:** Current margin usage (should stay above 90%)
- **Best Strategy:** SHOWS YOUR ACTIVE TRADE SCORE!
---
### **PANEL 2 (Middle): SCORING BREAKDOWN**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
ZERO-BASED SCORING
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
FINAL SCORE: 110 / 470
✅ QUALIFIED
Best Setup:
Zone: IN TRADE
Direction: BUY ▲
━━━ MARKET CONDITIONS ━━━
ATR Volatility: 35
RSI Momentum: 0
Price Velocity: 0
Behavior: 25
Regime: 0
Rejection Wick: 0
Divergence: 0
Session: 0
Flip Pending: 0
─────────────────────────
Market Total: 60
━━━━ FILTER LAYERS ━━━━
Pearson (0.800): 50
EMA Stack: NEUTRAL
R² (0.450): 0
Combined: 0
─────────────────────────
Filter Total: 50
Status: ● LIVE
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**How to Read:**
- **FINAL SCORE:** Your trade's entry score (STAYS during trade!)
- **Market Conditions:** 9 components from market analysis
- **Filter Layers:** 4 components from trend/correlation
- **Market Total + Filter Total = FINAL SCORE**
**Color Coding:**
- Green numbers: Positive contribution
- Red numbers: Negative contribution
- White numbers: Neutral (0 points)
---
### **PANEL 3 (Right): CORRELATION TRAFFIC**
```
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
CORRELATION TRAFFIC
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
━━━━ LEADER PYRAMID ━━━━
▲
USDCAD
🔵 ACTIVE: 1 🔴 BLOCKED: 0
Trend Strength:
●●●○○○○○○○ 3/10
━━━━ PAIR MONITOR ━━━━
● EURUSD [+75%] READY
● GBPUSD [+65%] ACTIVE
● AUDUSD [+15%] READY
● NZDUSD [-25%] READY
● USDCAD LEADER ACTIVE
● USDCHF [-80%] HIGH
● USDJPY [+45%] READY
● EURJPY [+55%] INV
○ GBPJPY [+70%] READY
○ AUDJPY [+20%] READY
○ NZDJPY [-15%] READY
Avg Correlation: 0.45
Max Correlation: 0.85
Conflicts: 0
━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━━
```
**How to Read:**
- **LEADER:** First trade becomes leader (pyramid at top)
- **Colored circles:** Green = ready, Gold = leader, Blue = inverse
- **Correlation %:** Shows relationship to leader
- **[+75%] BRIGHT GREEN:** Aligned (safe to trade)
- **[+15%] GRAY:** Neutral (independent)
- **[-80%] BRIGHT RED:** Opposing (blocked/danger)
- **Trend Lights:** 0-10 colored circles showing market conditions
- Green = Excellent (8-10 lights)
- Gold = Good (6-7 lights)
- Orange = Moderate (4-5 lights)
- Red = Weak (0-3 lights)
---
## 🎓 TRADING STRATEGY GUIDE
### **BEST PRACTICES**
**1. Pair Selection:**
```
✓ Major pairs (EURUSD, GBPUSD, USDJPY, etc.)
✓ Liquid markets (low spread)
✗ Exotic pairs (high spread, low liquidity)
✗ Cryptocurrencies (too volatile for zone system)
```
**2. Timeframe:**
```
EA analyzes: H1, H4, D1 (multi-timeframe)
Attach EA to: M15 or M30 chart (for tick frequency)
Zones recalculate: Daily at StartHour (default midnight GMT)
```
**3. Account Size:**
```
Minimum: $1,000 (for proper risk management)
Recommended: $5,000+ (better diversification)
Ideal: $10,000+ (can trade multiple pairs)
```
**4. Leverage:**
```
US/Low leverage (50:1): Trade 1-3 pairs max
Standard leverage (100:1): Trade 3-5 pairs
High leverage (500:1): Trade 5-10 pairs
⚠️ Higher leverage = higher risk!
Only increase pairs if you understand the risk
```
**5. Risk Settings:**
```
Conservative: 1% per trade
Moderate: 2% per trade
Aggressive: 3% per trade
⚠️ NEVER exceed 5% per trade!
```
---
### **RECOMMENDED SETUP (CONSERVATIVE)**
```
Account: $10,000
Pairs: 3-5 majors
Risk: 2% per trade
Max Trades: 1 per pair
Leverage: 100:1
Settings:
RiskPercent = 2.0
MaxTradesPerPair = 1
MaxTotalPositions = 5
UseEMAStackFilter = true
EMAStackBlocking = true
UseCorrelationSystem = true
```
**Expected Performance:**
- Win Rate: 65-80%
- Avg Win: 10-15 pips
- Avg Loss: 15-20 pips
- Risk/Reward: 1:1 to 1:1.5
- Monthly Return: 5-15% (varies by market conditions)
⚠️ **Past performance does NOT guarantee future results!**
---
### **RECOMMENDED SETUP (AGGRESSIVE)**
```
Account: $25,000+
Pairs: 5-10 majors + crosses
Risk: 3% per trade
Max Trades: 1 per pair
Leverage: 200:1+
Settings:
RiskPercent = 3.0
MaxTradesPerPair = 1
MaxTotalPositions = 10
UseKellyPositionSizing = true
UseCorrelationSystem = true
```
**Expected Performance:**
- Higher returns but HIGHER RISK
- More simultaneous trades
- Larger drawdowns possible
- Requires active monitoring
⚠️ **Only for experienced traders who understand leverage risk!**
---
## 🛠️ INSTALLATION & SETUP
### **Step 1: Installation**
1. Purchase from MQL5 Market
2. Download and install automatically via MT5
3. Restart MT5
4. EA appears in Navigator → Expert Advisors
### **Step 2: Attach to Chart**
1. Open desired pair (e.g., EURUSD)
2. Set chart to M15 or M30 timeframe
3. Drag EA from Navigator to chart
4. Settings window opens
### **Step 3: Configure Settings**
```
CRITICAL SETTINGS:
✓ Allow Algo Trading (top right button)
✓ Allow DLL imports: FALSE (not needed)
✓ Allow Live Trading: TRUE
✓ Allow external experts: TRUE
EA INPUTS:
RiskPercent: 2.0 (or your preference)
MaxTradesPerPair: 1
UseEMAStackFilter: true
EMAStackBlocking: true
```
### **Step 4: Verify Operation**
```
Check Terminal → Expert tab:
✓ "v19.1.1 ENHANCED Initialized"
✓ "Risk: 2.0% | Max Trades: 1"
✓ "TP: 27.0% Daily Range"
✓ "Exhaustion SL: 20 pips"
If you see these, EA is running correctly!
```
### **Step 5: Monitor First Trade**
```
Wait for zone touch and qualification (100+ score)
Check Panel 2 for score breakdown
Verify SL/TP are set correctly
Monitor in Panel 1 for status
```
---
## ❓ FREQUENTLY ASKED QUESTIONS
### **Q: Can I use this on demo account?**
A: Yes! Each license includes 1 live + 1 demo account.
### **Q: Can I change SL/TP manually?**
A: No. EA manages all exits automatically based on daily range. Manual changes will be overridden.
### **Q: Why is my trade showing 0 score?**
A: If you attached EA to chart with existing position, it doesn't know the entry score. New trades will display correctly.
### **Q: How many pairs should I trade?**
A: Depends on leverage:
- 50:1 leverage: 1-3 pairs
- 100:1 leverage: 3-5 pairs
- 500:1 leverage: 5-10 pairs
### **Q: Why are some pairs blocked?**
A: Correlation system prevents hedging. If EURUSD is LEADER with BUY, and GBPUSD has +85% correlation, GBPUSD SELL will be blocked.
### **Q: What's the minimum account size?**
A: $1,000 minimum, but $5,000+ recommended for proper risk management.
### **Q: Can I use this with other EAs?**
A: Yes, but set different MagicNumber to avoid conflicts.
### **Q: Why didn't it take a trade at the zone?**
A: Score must be 100+ points to qualify. Check Panel 2 for score breakdown. Most likely EMA blocking or low RSI/ATR.
### **Q: What is "EZBL Touched ✓ (2/2)"?**
A: Exhaustion Zone Below Low was touched 2 times. Max re-entries reached (2/2). No more trades until zone recalibrates.
### **Q: Can I backtest this?**
A: Yes, but set:
- Modeling: Every tick based on real ticks
- Spread: Current (or realistic spread for pair)
- Initial deposit: Your actual account size
### **Q: What are Trend Lights?**
A: 0-10 colored circles showing market condition quality:
- Zones calibrated
- HOT timing
- Theme detected
- Trending regime
- High correlation
More lights = better conditions (but not required for trade entry)
---
## 🔧 TROUBLESHOOTING
### **EA Not Trading:**
```
Check:
□ Algo Trading enabled (button in toolbar)
□ EA shows smiling face icon (not sad face)
□ AutoTrading allowed in Tools → Options
□ No error messages in Expert tab
□ Account has sufficient margin
□ Price is actually at a zone (check zone lines)
□ Score is 100+ (check Panel 2)
□ EMA not blocking (check Panel 2 "EMA Stack")
□ Correlation not blocking (check Panel 3)
```
### **Displays Not Showing:**
```
Check:
□ ShowEliteDisplay = true
□ Restart chart (remove and re-attach EA)
□ Check PanelX/PanelY positioning
□ Try different chart template
```
### **Unexpected Trades:**
```
Check:
□ Review log file for score breakdown
□ Check if multiple zones aligned
□ Verify CorrelationSystem settings
□ Review EMAStackBlocking setting
```
### **Score Showing 0:**
```
Cause:
- EA attached to chart with existing position
- EA doesn't know original entry score
Solution:
- Close position and wait for new trade
- New trades will show scores correctly
```
---
## 📞 SUPPORT & UPDATES
### **Getting Help:**
1. **Read this guide thoroughly first**
2. **Check Terminal → Expert tab for error messages**
3. **Review log files** (see section below)
4. **Contact via MQL5 private message**
- Include: Account number, pair, error message
- Attach: Log file, screenshot
### **Log Files Location:**
```
MT5 → File → Open Data Folder
→ MQL5 → Files
→ Look for: SYNEX_OMEGA_v29_[PAIR]_[DATE].log
These contain detailed scoring breakdowns
```
### **Updates:**
- Free updates for bug fixes
- Major version upgrades may require new purchase
- Update notifications via MQL5 messaging
- Always backup settings before updating
---
## 📜 VERSION HISTORY
**v29.0 (January 2026) - Current**
- Multi-timeframe EMA system (H1/H4/D1)
- Stored entry score display fix
- Bright green/red correlation colors
- Removed confusing "Average Market Score"
- Real light bulb circles (not emoji)
- Existing position detection on startup
- Neutral correlation = 0 points (no free value)
**v24.x (December 2025)**
- Zone-based system refinements
- Correlation traffic control
- 13-component scoring
- Smart TP targeting
**v19.x (November 2025)**
- Initial zone system
- Basic EMA filtering
- Kelly Criterion option
---
## ⚖️ FINAL LEGAL NOTICES
### **NO WARRANTY**
THIS SOFTWARE IS PROVIDED "AS IS" WITHOUT WARRANTY OF ANY KIND, EXPRESS OR IMPLIED, INCLUDING BUT NOT LIMITED TO WARRANTIES OF MERCHANTABILITY, FITNESS FOR A PARTICULAR PURPOSE, OR NON-INFRINGEMENT.
THE DEVELOPER SHALL NOT BE LIABLE FOR ANY DAMAGES WHATSOEVER, INCLUDING DIRECT, INDIRECT, INCIDENTAL, SPECIAL, EXEMPLARY, OR CONSEQUENTIAL DAMAGES, EVEN IF ADVISED OF THE POSSIBILITY OF SUCH DAMAGES.
### **USER RESPONSIBILITY**
BY USING THIS EA, YOU AGREE THAT:
- You understand forex trading risks
- You have read and understood this guide
- You accept full responsibility for all trading results
- You will not hold the developer liable for losses
- You have adequate capital and risk tolerance
- You understand this is NOT a guaranteed profit system
### **COMPLIANCE**
Users must comply with all local regulations regarding:
- Forex trading legality
- Tax reporting requirements
- Leverage restrictions
- Any other applicable financial regulations
The developer is not responsible for regulatory compliance issues.
---
## 📧 CONTACT
**Developer:** Saturday @ Synex Capital
**Support:** Via MQL5 private messaging only
**Website:** [To be added]
**Documentation:** This guide + in-platform tooltips
---
**Thank you for choosing SYNEX OMEGA v29!**
**Trade responsibly and may your zones be profitable! 🚀**
---
*Copyright © 2026 Saturday / Synex Capital. All Rights Reserved.*
*MetaTrader 5 is a trademark of MetaQuotes Software Corp.*
---
END OF USER GUIDE
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