Anthony De Barros / 프로필
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🔎 Looking for a powerful, intelligent, and flexible EA for MetaTrader 5? Zyra Guardian Pro is your answer! ✅
✅ Advanced Strategy: Smart Recovery, Locked Profit for secure gains, and dynamic trade management.
✅ Complete Flexibility: Compatible with ALL symbols, ALL timeframes, and ANY broker.
✅ Enhanced Security: Automatically locks your profits to protect your capital.
✅ 100% Customizable: Activate the indicators you want (Ichimoku, MACD, RSI, Bollinger, and more).
🎯 Tested and proven on multiple pairs with outstanding results.
🔥 Launch Special Offer – Get it now! 🔥
👉 Check out Zyra Guardian Pro here:
https://www.mql5.com/en/market/product/135767
Zyra Guardian Pro – 지능형 리스크 관리가 적용된 고급 그리드 트레이딩 EA Zyra Guardian Pro는 자동화된 거래 관리를 원하는 트레이더를 위해 설계된 차세대 전문가 어드바이저(EA)입니다. 엄격한 시장 논리, 적응형 그리드 전략, 통합된 보안 메커니즘을 결합하여 규율 있는 실행을 제공합니다. 설정 파일 가격 전략 출시 가격 : 연간 149 $ (2025년 5월 16일까지 제공). 2025년 5월 17일부터 렌탈 가격이 연간 399 $로 변경됩니다. 지금 할인된 가격으로 Zyra Guardian Pro를 테스트해보세요. 전략 개요 적응형 그리드 Zyra Guardian Pro는 고급 적응형 그리드 시스템을 사용하여 필요할 때만 추가 포지션을 열고 각 거래를 지능적으로 관리하여 꾸준한 성장과 최소한의 드로우다운을 추구합니다. 이는 단순한 마틴게일이 아닌 시장 행동 논리에 기반합니다. 동적 진입 신호 Ichimoku, Bollinger, RSI, MACD

I’m currently developing a powerful and secure EA for MT5 based on a dynamic grid strategy with smart entry filters and capital protection.
Main features include:
Indicator-based signal system (Ichimoku, RSI, MACD, Bollinger)
Configurable scoring logic for multi-condition entries
Advanced money management: adaptive lot sizing, grid step, multiplier
Global stop-loss, profit-locking and directional grid control
Designed for real performance, not just backtest beauty
I’m currently running alpha tests on real tick data.
If the feedback is positive, I may open early access to a private beta soon.
Follow me here if you're interested in future updates or want to be part of the next testing phase.


Since April 1st, 2025, Zyra EA has generated:
💰 +€56.60 net profit
📉 Drawdown remains under control
🧠 Active strategies this month:
Reflex-Vortex
Long Term Trend
Price Action
Breakout
Mean Reversion
Volatility
Statistical Anomalies...
👉 What does this tell us?
➡️ Zyra doesn’t rely on a single logic
➡️ Losses are naturally absorbed by diversified modules
➡️ Growth remains stable and low risk, with zero manual intervention
No hype, no magic tricks — just solid and consistent progression, day by day.
📊 Full monthly report coming end of April
🔗 Zyra EA on MQL5
https://www.mql5.com/en/market/product/125360
Welcome to Zyra & Beyond 🧠⚔️

We’re not chasing flashy metrics or overly-optimized backtests.
No 99% win rates. No unrealistic equity curves.
Instead, we focus on what really matters:
✅ Realistic performance
✅ Controlled drawdowns
✅ Long-term survival
Trading is a marathon, not a sprint.
Our mission is to build an EA that can endure market chaos, not just shine during perfect conditions.
If you value transparency, resilience, and solid risk management,
you’re in the right place.
Welcome to Zyra & Beyond ⚔️
Channel : https://www.mql5.com/en/channels/zyra_beyond
Produit : https://www.mql5.com/en/market/product/125360

🔹 March Results:
✅ +3.55% monthly gain
📈 €173 net profit
📊 124 total trades (since the beginning)
📉 Max Drawdown: 3.54%
📅 Avg. Trade Duration: 20h52
🔍 Top Performing Pairs:
EURUSD (21.2% of trades, RR = 2.01)
CADJPY (11.5% of trades, RR = 1.35)
CHFJPY (RR = 1.93)
🔴 Important Note: XAUUSD (Gold) will be disabled starting in April.
Although the strategy performs well on gold, its volatility causes an excessive risk, which disrupts the overall money management.
✅ The goal is to maintain a consistent and balanced risk across all traded pairs.
📌 Overall Account Summary (Feb + March):
🟡 +0.70% total gain
💶 €34.51 total profit
⚙️ 124 trades
📊 Winrate: 41%
💚 Profit Factor: 1.09

Zyra keeps evolving to deliver even more performance and flexibility! 💡
🔹 ✨ NEW FEATURE: Custom Optimization with OnTester()
➡ You can now optimize Zyra based on 5 different criteria to match your trading style:
✔ Win Rate (%) – Maximize success rate
✔ Risk-Reward Ratio (RRR) – Optimize risk/reward balance
✔ System Quality Number (SQN) – Assess strategy robustness
✔ Ulcer Index – Minimize drawdown stress
✔ Kelly Criterion – Determine the optimal risk per trade
📌 Easy to use: Simply select your preferred optimization criterion in the input settings!
💎 Continuous improvements for better profitability
✅ Enhanced stability & robustness
✅ Maximum flexibility for backtest optimization
✅ Even more control over Money Management
🔥 Download the update now and take advantage of the latest improvements!
💬 Questions or need help? Drop a comment! 📩

🔥 Increased trading frequency for even more opportunities!
📊 Backtests optimized from 2010 to 2025 → Performance validated ✅
💰 37 charts running live with these new settings
📂 Set files are ready to use now!
📸 Here are the backtest results
⚡ Want more trades with Zyra? These new sets are made for you!
💬 Questions? Need help with installation? Leave a comment! 📩

Currently, all H1 sets are finalized and available ✅.
We have optimized Zyra for 30 symbols, ensuring broad market coverage on this timeframe.
🔥 Next Step: The 7 Major Forex Pairs on M15! 🔥
Optimizations are in progress and will be available soon. M15 will allow for more frequent trading opportunities, while maintaining strict risk management.
🛠 Current Set Status:
✅ H1: Fully optimized and ready to use
⏳ M15: 7 major Forex pairs coming soon!
❌ M1, M5 & H4: Not yet optimized
📊 Here’s an overview of the symbols and timeframes currently covered: (see image)
Stay tuned for the official announcement of the M15 sets! 🚀


I’ve been discussing potential improvements for Zyra, and I’d like to share some ideas before starting development. Any feedback is welcome!
1️⃣ Adding OnTester() for Custom Optimization
Zyra will soon include the OnTester() function, allowing for more advanced optimization. Instead of just maximizing profit, users will be able to choose from a list of key performance metrics, such as:
✔️ Profit Factor (Total profit / total loss)
✔️ Win Rate (%)
✔️ Maximum Drawdown (To minimize)
✔️ Expected Payoff (Average profit per trade)
✔️ Sharpe Ratio / Sortino Ratio (Risk-adjusted return)
✔️ Risk-Reward Ratio (RRR)
✔️ System Quality Number (SQN & SQN Score) (Evaluates strategy robustness)
✔️ Z-Score (Trade randomness analysis)
✔️ Ulcer Index (Measures stress from drawdowns)
✔️ Kelly Criterion (Optimal risk per trade)
✔️ Time in Market (%) (Market exposure tracking)
✔️ Trade Duration (Avg. trade holding time)
✔️ Max Consecutive Wins/Losses
Users will be able to select their preferred optimization criteria in the settings, eliminating the need to recompile the code when testing different strategies.
2️⃣ Improved Visual Interface & Risk Transparency
To enhance usability, I plan to introduce:
🔹 A reset button for stats from a custom date (Useful for tracking performance from a fresh start).
🔹 Display of lot size, max loss (if SL hit), and TP with RR ratio per trade – so users always know their risk exposure.
Why These Updates?
✅ More flexible optimization criteria for finding the best settings.
✅ Better transparency over trade sizes, risk, and reward.
✅ Easier monitoring of performance with custom stat resets.
Let me know what you think! Would these improvements be useful to you? Any other suggestions? 🚀

I’m excited to announce a major update for Zyra, introducing more control over risk management and an optimized visual display for better decision-making.
🔹 What’s New?
✅ New Money Management System – Choose between:
1️⃣ General Mode – The standard risk management applied to all strategies.
2️⃣ Strategy-Based Mode – Each strategy can have its own risk rules:
% of capital – Risk a fixed percentage per trade.
Fixed lot – Use predefined lot sizes.
Multiplier – Adjust lot sizes dynamically based on the general MM settings (e.g., 0.5x, 1.5x, 2x).
✅ Position Limit Control – Set a maximum number of open trades to avoid overexposure, ensuring a more balanced and stable risk approach.
✅ Improved Display & Information – The interface now provides better visual insights into strategy execution, trade details, and overall performance.
💡 Why This Update Matters?
🔹 More flexibility – Customize risk settings per strategy.
🔹 Better risk allocation – Optimize performance based on backtests.
🔹 Stronger capital management – Prevent overtrading and excessive drawdown.
🔹 Enhanced user experience – Get clearer and more detailed trade information.
➡️ Upgrade now and experience the new Zyra improvements!
Your feedback is always welcome! 🚀🔥

I’d like to share an improvement idea before starting development and get feedback from the community.
Currently, Zyra applies a global Money Management (MM), meaning that all strategies follow the same risk and lot size settings. However, after discussing with Tibauht, we see the potential benefit of introducing a strategy-based MM mode to provide more control and customization.
New Money Management Options
Users would have the choice between two MM modes:
1️⃣ General Mode (Current System)
A single MM setting applied to all strategies and symbols.
Lot sizes are calculated based on the global MM parameters.
2️⃣ Strategy-Based Mode (New Option)
Each strategy can have its own MM rules, allowing finer risk control.
Three possible settings per strategy:
% of capital → The strategy risks a fixed percentage of capital per trade.
Fixed lot → The strategy always opens positions with a predefined lot size.
Multiplier → The lot size is based on the general MM but scaled up/down by a factor (e.g., 0.5x, 1.5x, 2x).
Additional Improvement: Position Limit Control
To further enhance risk management, I’m considering adding a global position limit variable.
If the number of open positions reaches this limit, Zyra will not open new trades until some positions are closed.
This helps prevent over-exposure, especially since Zyra runs 10 strategies per symbol and currently supports 30 symbols (meaning 300 strategies in total).
Expected Benefits
✅ More flexibility: Some strategies can be more aggressive, while others remain conservative.
✅ Optimized risk allocation: Adapting MM based on backtest performance for each strategy.
✅ Better control over simultaneous trades: Preventing too many trades from opening at once, avoiding margin issues.
What do you think? Would you find these improvements useful? Let me know your thoughts before I start working on them!

I’ve just opened a new signal to track Zyra EA in real-time on Myfxbook.
Account: Demo $5,000
Strategy: Mean Reversion with structured risk management
Assets: 29 Forex pairs + Gold
Timeframe: H1
Follow the performance and see how Zyra EA operates in a live environment.
🔗 Check it out here:
More details on MQL5: https://www.mql5.com/fr/market/product/125360
Let me know if you have any feedback or questions! 📊🔥

We have completed an optimized set for 30 symbols (29 Forex pairs + Gold) on H1 timeframe 📊.
✅ Backtested from 2010 to 2025
✅ Structured Money Management for precise risk control
✅ Multi-strategy optimization for various market conditions
🔹 What’s next? We are now working on settings for M15, but due to the increased calculation time, this process will take longer than H1.
💡 In the meantime, we’d love to hear your thoughts on H1 results and whether you’re interested in seeing settings for H4 as well. Let us know! 💬

EA 설명: 이 자동 거래 EA는 장기적으로 지속 가능하고 적응 가능하며 높은 성능을 제공하기 위해 설계되었습니다. 지원 없이 판매되는 많은 EA와 달리, 이 EA는 유연성과 엄격한 리스크 관리 접근 방식으로 차별화됩니다. 통합된 각 전략은 다양한 시장 상황에 적응하도록 세심하게 테스트되었으며, 최적의 커버리지를 보장합니다. 고급 맞춤형 자금 관리 기능을 갖춘 이 EA는 성능을 유지하고 변동성이 높은 환경에서도 사용자의 자본을 보호하는 것을 목표로 합니다. 스토리텔링 주요 기능: 전략 다양화: 이 EA는 다양한 시장 조건에 적응할 수 있도록 고급 전략(mean-reversion, 단기 및 장기 트렌드, 브레이크아웃, 모멘텀, 변동성 및 레인지)을 통합합니다. 멀티 심볼 및 멀티 타임프레임 거래: 여러 심볼(포렉스 통화쌍, 지수, ETF) 및 시간 프레임에서 작동하도록 설계되어 효과적인 포지션 다각화를 제공합니다. 자동 리스크 관리: 각 포지션에는 미리 정의된 손절매와 이익실현이 항상