Helix MACD

Helix MACD - Momentum Indicator for US Indices and Gold

Helix MACD is a refined MACD-based indicator for the MetaTrader 5 platform. It is built on the standard MACD crossover logic with three additional filters intended to reduce the number of low-quality signals that a raw MACD produces in ranging or counter-trend conditions.

The indicator is tuned for the H1 timeframe on Nasdaq-100, S&P 500, Dow Jones, and Gold.


What this product is

This is a technical indicator, not an Expert Advisor. It processes price data and notifies the user when its entry conditions are met. It does not place orders and does not manage account balances.

  • Signals: visual BUY and SELL arrows drawn on the price chart, confirmed only on a closed bar. The indicator does not repaint.
  • Information panel: a floating panel on the chart displaying the active preset, market regime, higher timeframe trend state, session state, and last signal.
  • Refined MACD display: MACD line, signal line and histogram plotted in a separate sub-window below the price.
  • Alerts: platform popup, sound, push notifications to the MetaTrader 5 mobile application, and email. Each alert is configurable independently.

The indicator identifies setups based on a specific rule set. The trader makes every trading decision.


How the three filters work

A standard MACD emits a signal on every zero-line crossover regardless of context. This often produces false signals during ranging markets and during moves against the higher timeframe trend. Helix requires each candidate crossover to pass three checks before an arrow is drawn.

1. Higher timeframe trend alignment. Signals are only generated when they agree with the daily (D1) trend direction. A BUY signal requires price above the D1 EMA200 (or a shorter fallback moving average when broker history is limited). A SELL signal requires price below. Counter-trend crossovers on the H1 are filtered out.

2. Market regime classification. The indicator uses the ADX and an adaptive ATR window to classify the market as TREND, RANGE, VOLATILE, or NORMAL. In VOLATILE conditions the required crossover depth is automatically increased. In RANGE conditions the confirmation logic is more strict.

3. Institutional session window. Signals only fire during periods of higher liquidity.

  • Indices: between 13:30 and 20:00 UTC (regular New York Stock Exchange session)
  • Gold: between 08:00 and 21:00 UTC (London and New York overlap)

Outside these windows the indicator stays idle. The system also includes a spread filter, a one-bar confirmation delay, and a cooldown period after opposite signals to avoid back-to-back losing signals.


Scope of the indicator

The indicator is designed for four symbols only: Nasdaq-100, S&P 500, Dow Jones, and Gold, on the H1 timeframe. Forex pairs and cryptocurrency symbols were evaluated during development but were not included in the final release because they did not meet the author's validation threshold for this specific rule set. The indicator can be applied to other symbols in Custom mode, but the presets and the session filter were not calibrated for them.


Validated symbols and presets

The indicator reads the symbol of the chart it is applied to and loads the corresponding preset automatically:

  • Nasdaq-100 (symbol names containing NAS100, NDX, USTEC, TECH100): Stop Loss 2.5 times the ATR, Take Profit 3.0 times the ATR.
  • S&P 500 (symbol names containing SPX, US500, ES, SP500): Stop Loss 2.0 times the ATR, Take Profit 2.5 times the ATR.
  • Dow Jones (symbol names containing DJ30, US30): Stop Loss 2.0 times the ATR, Take Profit 2.5 times the ATR.
  • Gold (symbol names containing XAUUSD, GOLD): Stop Loss 3.0 times the ATR, Take Profit 5.0 times the ATR.

If the indicator is applied to any other symbol, it falls back to Custom mode. Signals will still be generated, but the trader is responsible for setting appropriate Stop Loss and Take Profit multipliers and for managing the session filter. The information panel clearly indicates when the indicator is in Custom mode.


Getting started

  • Setup: attach Helix MACD to an H1 chart of one of the four validated symbols.
  • Configuration: leave the inputs at their default values. Auto-detection handles the preset selection.
  • Verify the panel: check that the timeframe and higher timeframe rows are shown in green. If the higher timeframe row shows WARMUP, wait approximately 30 to 60 seconds for the daily history to load.
  • Monitor for signals: signals are infrequent, approximately 20 to 30 per year per symbol.
  • Act on alerts: when an alert is triggered, the message contains the signal direction, the entry price, the calculated Stop Loss and Take Profit levels based on the current ATR, and the preset name.

What to expect in the first weeks

The indicator is designed for patient traders. Some calibration of expectations is useful:

  • Signal count in the first month: approximately one to three signals per symbol, sometimes zero. Signals cluster around volatility events rather than the calendar.
  • Losing sequences: based on the historical win rate range of 42 to 56 percent in backtesting, sequences of three or four consecutive losses are statistically expected at some point.
  • First losing trade: is likely to occur within the first three signals. This is not a product defect. The statistical behavior of the indicator emerges over many trades, not over a small sample.
  • Realistic evaluation period: three to six months per symbol.

If the trader expects multiple signals per day or a win rate significantly above 60 percent, this indicator is not suitable.


Input parameters

  • InpPreset: AUTO (default), TECH100, INDEX, GOLD, or CUSTOM. Forces a specific preset.
  • InpSymbolOverride: keyword override for symbols with non-standard names (for example, with broker suffixes).
  • InpCustomSLMult / InpCustomTPMult: ATR multipliers for Stop Loss and Take Profit in Custom preset mode. Defaults 2.0 and 2.5.
  • InpMode: BALANCED (standard) or CONSERVATIVE (approximately 30 percent fewer signals, stricter filters).
  • InpHTFMode: higher timeframe filter, default D1. Disabling this input is not recommended in live use because the trend filter is part of the indicator's design.
  • InpHonorAssetHours: when true (default), signals only fire inside the defined session windows. Disabling this removes the session filter.
  • InpSessionMode: AUTO, ALL, or CUSTOM. Secondary broker session filter.
  • InpAlertPopup, InpAlertSound, InpAlertPush, InpAlertEmail: four independent alert channels.
  • Display parameters: information panel visibility, panel corner position, arrow visibility on the chart.

Safe to change: alert preferences, panel position, arrow visibility.
Change only with a specific reason: InpMode, InpSymbolOverride, InpCustomSLMult, InpCustomTPMult.
Do not change for normal operation: InpHTFMode, InpHonorAssetHours. These two parameters control the filters that the indicator was designed around.


Backtest methodology

The Stop Loss and Take Profit multipliers for each symbol preset were selected through the following procedure on broker-native H1 data from March 2021 through April 2026 (approximately 30,000 bars per symbol):

  • Grid search across 30 combinations of Stop Loss and Take Profit multipliers per symbol.
  • Top candidates by in-sample Sharpe ratio were subjected to walk-forward out-of-sample evaluation.
  • A 50/50 train-test split was used: multipliers were calibrated on the first half of the data and evaluated on the second half, which the calibration procedure did not see.
  • Only configurations with a positive out-of-sample Sharpe ratio and a walk-forward verdict of stable or improved out-of-sample performance were retained.

The backtest was conducted on broker-native data (the same data source a user will see on their charts) and with the same session filter and higher timeframe logic that the indicator applies on a live chart.


Historical backtest results

The following figures are historical backtest results on the validated symbols and are not representative of future performance. Actual live performance will differ.

  • Signal frequency in backtest: approximately 20 to 30 per symbol per year.
  • Win rate in backtest: 42 to 56 percent, depending on symbol and period.
  • Profit factor in backtest: 1.3 to 1.7 across the four symbols in the out-of-sample period.
  • Maximum closed-trade drawdown observed in backtest: approximately 11.6 percent on Gold at 1 percent risk per trade. Indices showed between 2 and 6 percent depending on the period.
  • Reward to risk: the Take Profit multiplier is greater than the Stop Loss multiplier for three of the four presets, with Nasdaq-100 as the exception by design.

Backtest performance is not a guarantee of future results. Live trading involves slippage, variable spreads during news events, execution delays, and other conditions that may not be fully captured in backtesting.


Limitations

  • Low frequency: the indicator is not designed for scalping or high-frequency trading.
  • No guarantee of any win rate or return: a statistical edge manifests over many trades, not over a small sample.
  • Broker dependency: results depend on the quality of the broker's historical data, spread behavior during news events, and session definitions.
  • Limited scope: four symbols, H1 timeframe. Other applications are in Custom mode without validated parameters.
  • No repainting: signals are confirmed only after the bar closes. Signals cannot be acted upon during the formation of the current bar.
  • Proprietary code: the product is distributed as a compiled file. The full rule set is documented in this description. The source code is not shared.

Technical requirements

  • MetaTrader 5 platform, Build 3500 or higher recommended.
  • Any broker that offers at least one of the four validated symbols.
  • Approximately 300 H1 bars of chart history for internal calibration.
  • Daily timeframe history for the higher timeframe filter, which the indicator loads automatically on initialization.

Support

Technical questions, broker compatibility issues, and general clarifications can be submitted through the Comments tab of this product page. When reporting an issue please include:

  • Broker name.
  • Exact symbol name as it appears in the Market Watch window.
  • A screenshot of the information panel showing its complete state.
  • The lines from the MetaTrader 5 Experts log that begin with the indicator identifier.

Response time target: within 48 hours.


Disclaimer

Trading financial markets carries significant risk of loss, which can equal or exceed the initial investment. Trading should not be undertaken with funds that cannot be afforded to be lost.

Helix MACD is a decision-support tool. It is not investment advice, not financial advice, not a solicitation to trade, and not a trading signal service. All trading decisions made based on signals from this indicator are the sole responsibility of the trader.

The author and seller of this indicator are not liable for any losses, damages, lost profits, or missed opportunities arising from the use of this product, directly or indirectly. Historical backtest performance does not constitute any promise, guarantee, or warranty of future performance.

The indicator is sold as-is. The author does not guarantee compatibility with every broker or every MetaTrader 5 terminal configuration. Best-effort support is provided through the Comments tab.

By purchasing this product the buyer represents having read and accepted these terms, being legally permitted to trade financial instruments in the applicable jurisdiction, and using own capital at own risk.


Version

1.0, first public release. Updates for bug fixes, broker compatibility improvements, and code optimization are delivered free of charge through the MetaQuotes Market automatic update system. Major new features, such as additional symbols or timeframes, may be released as a separate product.

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O indicador Berma Bands (BBs) é uma ferramenta valiosa para traders que buscam identificar e capitalizar tendências de mercado. Ao analisar a relação entre o preço e os BBs, os traders podem discernir se um mercado está em uma fase de tendência ou de variação. Visite o [ Blog Berma Home ] para saber mais. As Bandas de Berma são compostas por três linhas distintas: a Banda de Berma Superior, a Banda de Berma Média e a Banda de Berma Inferior. Essas linhas são plotadas em torno do preço, criando u
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Bill Williams Advanced is designed for automatic chart analysis using Bill Williams' "Profitunity" system. The indicator analyzes four timeframes at once. Manual (Be sure to read before purchasing) Advantages 1. Analyzes the chart using Bill Williams' "Profitunity" system. Signals are displayed in a table in the corner of the screen and on the price chart. 2. Finds all known AO and AC signals, as well as zone signals. Equipped with a trend filter based on the Alligator. 3. Finds "Divergence Bar
ARICoins
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ARICoin is a powerful trading companion designed to generate high-probability entry signals with dynamic TP/SL/DP levels based on volatility. Built-in performance tracking shows win/loss stats, PP1/PP2 hits, and success rates all updated live. Key Features: Buy/Sell signals with adaptive volatility bands Real-time TP/SL/DP levels based on ATR Built-in MA Filter with optional ATR/StdDev volatility Performance stats panel (Success, Profit/Loss, PP1/PP2) Alerts via popup, sound, push, or email Cust
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Temirlan Kdyrkhan
ARIPoint is a powerful trading companion designed to generate high-probability entry signals with dynamic TP/SL/DP levels based on volatility. Built-in performance tracking shows win/loss stats, PP1/PP2 hits, and success rates all updated live. Key Features: Buy/Sell signals with adaptive volatility bands Real-time TP/SL/DP levels based on ATR Built-in MA Filter with optional ATR/StdDev volatility Performance stats panel (Success, Profit/Loss, PP1/PP2) Alerts via popup, sound, push, or email Cu
SignalTech MT5 is a trading system for EURUSD, USDCHF, USDJPY, AUDUSD, NZDUSD, EURJPY, AUDJPY, NZDJPY, CADJPY H2 and H3 Timeframe.  It can generate signals with Buy/Sell Arrows and Pop-Up/Sound Alerts. Each signal has clear Entry and Stop Loss levels, which should be automatically flagged on the chart, as well as potential Targets 1, 2, and 3. The Entry and TP levels are fixed after the trade is taken. The exit level is dynamic. If there are signs of a potential short-term trend reversal, the
A Master Edition é uma ferramenta analítica de nível profissional projetada para visualizar a estrutura do mercado através da lente do volume e do fluxo de dinheiro. Ao contrário dos indicadores de volume padrão, esta ferramenta exibe um Perfil de Volume Diário diretamente no seu gráfico, permitindo ver exatamente onde a descoberta de preços ocorreu e onde o "dinheiro inteligente" está posicionado. Esta Master Edition é projetada para clareza e velocidade, apresentando um sistema único de Auto-T
RelicusRoad Pro: Sistema Operacional Quantitativo de Mercado 70% DE DESCONTO ACESSO VITALÍCIO (TEMPO LIMITADO) - JUNTE-SE A 2.000+ TRADERS Por que a maioria dos traders falha mesmo com indicadores "perfeitos"? Porque eles operam Conceitos Únicos no vácuo. Um sinal sem contexto é uma aposta. Você precisa de CONFLUÊNCIA . RelicusRoad Pro não é um simples indicador de seta. É um Ecossistema Quantitativo de Mercado completo. Ele mapeia a "Estrada do Valor Justo", distinguindo ruído de rupturas estru
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O indicador " Dynamic Scalper System MT5 " foi desenvolvido para o método de scalping, operando dentro de ondas de tendência. Testado nos principais pares de moedas e ouro, é possível a compatibilidade com outros instrumentos de negociação. Fornece sinais para a abertura de posições de curto prazo ao longo da tendência, com suporte adicional para o movimento dos preços. O princípio do indicador: As setas grandes determinam a direção da tendência. Um algoritmo para gerar sinais de scalping sob
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Roman Podpora
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O indicador mostra com precisão os pontos de reversão e as zonas de retorno de preço onde o   Principais players . Você identifica onde novas tendências estão se formando e toma decisões com máxima precisão, mantendo o controle sobre cada negociação. VERSION MT4     -    Revela seu potencial máximo quando combinado com o indicador   TREND LINES PRO. O que o indicador mostra: Estruturas de reversão e níveis de reversão com ativação no início de uma nova tendência. Exibição dos níveis de   TAKE P
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AriX Indicator for MT5 A powerful trend-following and signal-evaluation tool AriX is a custom MT5 indicator that combines Moving Averages and ATR-based risk/reward logic to generate clear buy/sell signals. It visualizes dynamic SL/TP levels, evaluates past trade outcomes, and displays win/loss statistics in a clean on-chart panel. Key features include: Buy/Sell signals based on MA crossovers ATR-based SL/TP1/TP2/TP3 levels with visual lines and labels Signal outcome tracking with real-time stat
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Ferramenta dos market makers. O Meravith irá: Analisar todos os timeframes e exibir a tendência atual em vigor. Destacar zonas de liquidez (equilíbrio de volume) onde o volume comprador e vendedor é igual. Mostrar todos os níveis de liquidez de diferentes timeframes diretamente no seu gráfico. Gerar e apresentar análise de mercado em formato de texto para sua referência. Calcular alvos, níveis de suporte e pontos de stop-loss com base na tendência atual. Calcular a relação risco/retorno das suas
Ziva LSE System
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ZIVA Signal Intelligence An Adaptive, Modular Market Intelligence System ZIVA Signal Intelligence is not positioned as a conventional trading indicator. It is a fully integrated, proprietary market intelligence system engineered to deliver structured, high-precision interpretation of price behavior within a controlled analytical environment. Developed through an independent architectural approach, ZIVA does not rely on, derive from, or replicate existing indicators. It represents a standalone
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Swing Trading é o primeiro indicador projetado para detectar oscilações na direção da tendência e possíveis oscilações de reversão. Ele usa a abordagem de negociação de linha de base, amplamente descrita na literatura de negociação. O indicador estuda vários vetores de preço e tempo para rastrear a direção da tendência agregada e detecta situações nas quais o mercado está sobrevendido ou sobrecomprado em excesso e pronto para corrigir. [ Guia de instalação | Guia de atualização | Solução de prob
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Bernhard Schweigert
4.53 (15)
Atualmente com 33% de desconto! A melhor solução para qualquer Trader Novato ou especialista! Este indicador é uma ferramenta de negociação exclusiva, de alta qualidade e acessível porque incorporamos uma série de recursos proprietários e uma nova fórmula. Com esta atualização, você poderá mostrar fusos horários duplos. Você não só será capaz de mostrar um TF mais alto, mas também mostrar ambos, o TF do gráfico, MAIS o TF mais alto: MOSTRANDO ZONAS ANINHADAS. Todos os traders de Oferta e Demanda
O nível Premium é um indicador único com mais de 80% de precisão nas previsões corretas! Este indicador foi testado pelos melhores Especialistas em Negociação por mais de dois meses! O indicador do autor você não encontrará em nenhum outro lugar! A partir das imagens você pode ver por si mesmo a precisão desta ferramenta! 1 é ótimo para negociar opções binárias com um tempo de expiração de 1 vela. 2 funciona em todos os pares de moedas, ações, commodities, criptomoedas Instruções: Assim
Volatility Trend System - é um sistema de negociação que fornece sinais para entradas. O sistema de volatilidade fornece sinais lineares e pontuais na direção da tendência, bem como sinais para sair dela, sem redesenhar ou atrasos. O indicador de tendência monitora a direção da tendência de médio prazo, mostra a direção e sua mudança. O indicador de sinal é baseado em mudanças na volatilidade e mostra as entradas no mercado. O indicador está equipado com diversos tipos de alertas. Pode ser apli
LINHAS DE TENDÊNCIA PRO   -   Ajuda a entender onde o mercado está realmente mudando de direção. O indicador mostra inversões de tendência reais e pontos onde os principais participantes retornam ao mercado. Você vê     Linhas BOS   Análise de tendências e níveis-chave em prazos maiores — sem configurações complexas ou ruídos desnecessários. Os sinais não são repintados e permanecem no gráfico após o fechamento da barra. VERSÃO MT4   -   Revela seu potencial máximo quando combinado com o   indic
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