Universal Counter Trend Grid EA MT5

Universal Counter-Trend Grid EA v2.5 MT5 — Multi-Currency Automated Execution System


For MT4 Version: https://www.mql5.com/en/market/product/143356


Universal Counter-Trend Grid EA is an automated trading utility developed for the MetaTrader 5 platform designed to capitalize on mean-reversion price behavior during extended market conditions. The system integrates an adaptive grid calculation engine with a multi-layered signal confirmation matrix to execute positions at calculated price extremes.

Multi-Layer Confirmation Matrix

The Expert Advisor processes entry criteria through up to 6 independent layers of technical confirmation prior to initiating the baseline sequence to optimize entry precision:

  • Level 1 (Reactive): Provides a rapid execution response to extreme short-term market deviations.
  • Level 2 (Standard): Establishes the primary balanced configuration between order frequency and statistical accuracy baseline.
  • Level 3 (Selective): Applies an additional technical filter layer to achieve higher entry precision.
  • Level 4 (Market Validation): Evaluates specific price patterns to confirm structural price reversals.
  • Level 5 (Conservative): Integrates higher timeframe market structure analysis for added account protection.
  • Level 6 (Highly Defensive): Delivers maximum capital protection by enforcing strict trend velocity and strength verification filters.

Multi-Currency Portfolio Operations

The system can monitor and trade up to 8 or more currency pairs simultaneously from a single chart window deployment, optimizing terminal resource consumption. Overall portfolio exposure and risk vectors are regulated systematically via the MaxConcurrentPairs parameter, allowing users to define the absolute limit of concurrent active symbols allowed at any given time.

Volatility-Based Dynamic Grid Architecture

The horizontal spacing intervals between grid levels are calculated dynamically using real-time market volatility metrics. During periods of low volatility, grid intervals contract automatically to capture micro-movements. Conversely, when volatility expands, the grid intervals widen programmatically to safeguard account margin against sustained directional price pressure and minimize drawdown risks.

Tiered Volume Management Modules

The volume multiplier system categorizes lot allocation adjustments into three independent risk zones that can be fully customized by the user:

  • Zone 1 (Positions 2-4): Employs conservative volume allocation rules to establish a baseline structure.
  • Zone 2 (Positions 5-7): Implements specific recovery volume multipliers to optimize closing efficiency at favorable structural coordinates.
  • Zone 3 (Positions 8+): Enforces controlled volume lot parameters to secure outstanding tranches without creating excessive margin exposure.

Every position zone is fully customizable to allow individual parameter tuning based on lot aggressiveness preferences.

Account Safety Modules and Protection Parameters

The system features comprehensive risk mitigators designed to run automatically under live market conditions:

  • Equity Guard: A hard circuit breaker system that monitors account drawdown metrics via three distinct automation modes. Mode 1 terminates all active positions and stops trading operations. Mode 2 closes all active exposures and pauses new position triggers for a user-defined duration before auto-resuming. Mode 3 suspends new baseline sequence entries while continuing to manage active grid structures to target exits.
  • Anti-Trend Safety Filter: Programmatically suspends the deployment of additional grid entries when the core algorithm identifies strong sustained directional trend momentum.
  • Unified Basket Management: Controls group exits utilizing total monetary targets (Money Take Profit), volatility-adjusted dynamic targets, and automated dynamic breakeven functions to lock realized gains and minimize floating risk.

Technical Specifications and Features

  • Automated money management logic that sizes position lots proportional to the active account balance.
  • Real-time graphical user interface dashboard detailing per-pair metrics, active grid tranches, floating valuations, and equity guard tracking states.
  • Automatic chart style formatting module that applies a clean visual presentation to the workspace.
  • Integrated maximum spread filter module to prevent order placement during periods of low liquidity or widening spreads.
  • Unique Magic Number allocation parameters mapped per symbol to prevent internal position tracking conflicts with other active utilities.
  • Optional configuration allowing technical re-confirmation requirements prior to the deployment of individual grid levels.

Operational Setup and Instrument Recommendations

  • Capital Threshold: Minimum 500 USD balance, with a recommended allocation of 1000 USD or greater for optimal safety.
  • Account Setup: ECN or Raw Spread environments featuring low transaction spread variables are highly preferred.
  • Account Leverage: Minimum 1:200 ratio; 1:500 or greater is recommended for optimal margin management.
  • Chart Timeframe: Primary execution optimization is structured for M30 or H1 periods, allowing the EA to manage multi-pair setups internally.
  • Virtual Private Server (VPS): Highly recommended to ensure continuous terminal operations over 24/5 trading cycles.
  • Broker Environment: Regulated platforms featuring rapid order execution throughput and tight spreads.

Instrument Application Guidance

The algorithm is specifically optimized for financial instruments displaying strong mean-reverting and ranging characteristics rather than strong trend tendencies:

  • AUDNZD: Classic ranging asset behavior featuring tight transaction spreads.
  • EURGBP: Highly stable structural movement profiles ideal for automated grid management.
  • EURCHF: Characterized by low-to-medium structural volatility parameters.
  • AUDCAD: Commodity-driven correlation vectors that effectively dampen extreme market moves.
  • NZDCAD: Provides consistent historical ranging performance properties.
  • USDCHF: Established safe-haven pair displaying measurable historical consolidation ranges.

Avoid highly volatile, strongly trending assets such as GBPJPY, EURJPY, and XAUUSD, as they do not represent the natural operational environment for this counter-trend strategy.

Optimization and Deployment Guidelines

  1. Initialize testing utilizing the Standard confirmation parameters on Level 2 to balance frequency and selection.
  2. Deploy Equity Guard using Mode 3 to safeguard the account framework without liquidating active recovery sequences.
  3. Ensure the dynamic grid module remains active to automatically scale spacing variables against current market volatility.
  4. Restrict the MaxConcurrentPairs parameter to a maximum ceiling of 2 or 3 symbols to avoid overexposure.
  5. Execute extensive historical simulation backtests covering a minimum period of 2 years before deploying on live environments.

Risk Disclaimer

Trading foreign exchange and utilizing automated Expert Advisors involves a high level of capital risk and may result in the loss of partial or entire invested funds. Grid-based methodologies and volume multipliers carry inherent drawdown risks during persistent one-directional market movements. Although the system is equipped with protective parameters like Equity Guard and Anti-Trend filters, no automated framework is completely risk-free.

Historical simulations, backtests, or demo environments provide no absolute guarantee of future live performance metrics. Users maintain absolute personal responsibility for individual parameter configuration, risk limits, and operational tracking within their trading plan. The developer assumes no responsibility or liability for any financial losses arising from the use of this software application.

For parameter optimization inquiries, setup troubleshooting, or technical questions, please utilize the product Comments section or initiate an internal platform private message.

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Are you ready to power up your Gold trading? Impulse by Starpoint Trading — A six-strategy gold EA that waits for the perfect shot. Launch offer: 30% off until 26th July   — to celebrate the v2.00 release, Impulse is available at a 30% discount. On 26th July the price reverts to $499, so grab it while the offer lasts. Impulse v2.00 is here! The biggest update in Impulse's history has arrived. Version 2.00 takes everything that made Impulse a disciplined, patient Gold trading system and elevates
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4.86 (507)
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4.77 (128)
Quantum Bitcoin EA   : Não existe nada impossível, é só uma questão de descobrir como fazer! Entre no futuro do trading   de Bitcoin   com   Quantum Bitcoin EA   , a mais recente obra-prima de um dos principais vendedores de MQL5. Projetado para traders que exigem desempenho, precisão e estabilidade, Quantum Bitcoin redefine o que é possível no mundo volátil da criptomoeda. IMPORTANTE!   Após a compra, envie-me uma mensagem privada para receber o manual de instalação e as instruções de config
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Rob Josephus Maria Janssen
4.57 (46)
Prop Firm Ready! Chiroptera is a non-martingale, non-grid, multi-currency Expert Advisor that operates in the quiet hours of the night. It uses single-placed trades (of all 28 pairs!) with tactically placed Take Profits and Stop Losses, that are continuously adjusted to maximize gains and minimize losses. It keeps track of past and upcoming news reports to ensure impacts are minimized and carefully measures real-time volatility to prevent impacts due to unpredictable geo-political disturbances c
Fortune MT5
Lee See Hao
4.91 (11)
Real Trading Account  LIVE SIGNAL VT MARKETS:  https://www.mql5.com/en/signals/2363526 Join SmiteFX Algos MQL5 Public Chat :   https://www.mql5.com/en/messages/03e4dab0b20bdd01 Fortune is an automated breakout Expert Advisor for MetaTrader 4 & 5, developed primarily for XAUUSD. The EA identifies potential breakout and breakdown zones based on recent market structure, then manages each trade according to the risk percentage set by the user. Every position is opened with predefined Stop Loss and
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Lars Laeremans
5 (6)
VEX 2.00 is here. Now prop firm ready. 4 Months stable Live signal Now upgraded with an optional Prop Firm Mode. No grid. No martingale. One position at a time Live Trading Signal: BlackBull Live Signal   Blackbull High Risk Signal New public channel with upcoming updates and broker-by-broker comparisons https://www.mql5.com/en/channels/vexgoldea Setup instructions and usage guidelines View user manual Defined rules. Fixed risk. One position at a time. No AI, no machine learning, no
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