Volatility Adaptor MT5

Volatility Adaptor MT5 EA

Dynamic ATR-Based Adaptive Trading System for MetaTrader 5

Description

Volatility Reactive System is an automated trading application for MetaTrader 5 that dynamically adjusts trading frequency, stop-loss, take-profit, and expiry parameters based on the Average True Range (ATR) of each instrument. During high volatility periods, the system widens targets and reduces position sizes. During low volatility periods, the system tightens parameters to capture smaller movements. This approach enables consistent performance without requiring manual parameter adjustments across changing market conditions.

The Expert Advisor applies a comprehensive scoring methodology across 14 signal components, with a unique adaptation mechanism that scales all trading parameters according to real-time volatility measurements. The system automatically switches between volatility regimes, ensuring optimal performance in both quiet and turbulent markets.

Core Features

Dynamic SL, TP, and expiry – All based on current ATR measurements

Volatility regime switching – Automatic adaptation between high and low volatility modes

Pending order cleanup – Automatically removes orders deviating more than 2.5x ATR from market price

Adaptive risk percentage – Scales position sizing based on volatility contraction or expansion

Auto-compounding – Automatic reinvestment of profits

Kelly criterion – Optimal position sizing based on historical performance

14 signal components – Comprehensive evaluation across multiple trading indicators

Multi-pair trading capability – Supports 30+ symbols including Forex, Metals, Crypto, and Indices

Single-pair mode – Focused trading on one instrument

Three-level partial close – Progressive take-profit mechanism

Trailing stop mechanisms – Multiple trailing stop options

Risk management – Daily loss limits, profit targets, circuit breaker, and drawdown protection

Real-time dashboard – Toggle visibility with the 'D' key

Notification system – Alert delivery via email and platform notifications

Signal Scoring System

The EA evaluates trades using a scoring system with 14 signal components. Each signal receives a weighted score based on its significance in identifying trading opportunities across different volatility conditions.

Primary Signals (High Weight)

Signal Component Maximum Score Description
Liquidity Sweep 30 Detection of stop-loss hunting patterns
Divergence 25 RSI and MACD divergence detection
SMC Filter 25 Smart Money Concepts filtering
Order Block 25 Institutional order zone identification
Fair Value Gap 20 Price gap analysis for entry confirmation

Secondary Signals (Moderate Weight)

Signal Component Maximum Score Description
Candle Direction 20 Price action pattern analysis
Support / Resistance 20 Key level identification
BBMA Squeeze 20 Volatility contraction and expansion
EMA Crossover 20 Fast and slow EMA alignment
Order Flow Imbalance 15 Net buying versus selling pressure

Tertiary Signals (Lower Weight)

Signal Component Maximum Score Description
Breakout Detection 15 Price breach of recent levels
RSI Oversold/Overbought 10 Momentum extreme detection
ADX Trend Strength 10 Trend strength validation
Volume Surge 5 Volume confirmation

The total score is calculated by summing all active signal components. Entries are triggered when the combined score exceeds the user-defined threshold, which adapts based on current volatility conditions.

ATR-Based Parameter Adaptation

The system's core innovation is its dynamic parameter adjustment mechanism based on real-time ATR measurements:

Stop-Loss Calculation

SL distance = ATR × Multiplier

The multiplier adjusts based on volatility regime:

  • High volatility: Wider multipliers to avoid premature stops

  • Low volatility: Tighter multipliers for precise entries

Take-Profit Calculation

TP distance = ATR × Multiplier × Risk-Reward Ratio

The system maintains consistent risk-reward ratios while adjusting absolute distances to match market conditions.

Expiry Time Adjustment

Pending order expiry = ATR × Time Multiplier

Higher volatility extends expiry time to allow for price movement, while lower volatility reduces expiry to avoid stale orders.

Pending Order Cleanup

Orders that deviate more than 2.5× ATR from the current market price are automatically removed. This prevents stale orders from executing in unfavorable conditions.

Volatility Regime Switching

The system automatically identifies and adapts to different volatility conditions:

High Volatility Regime

Parameter Adjustment
Position Size Reduced (Risk% × 0.7)
SL Distance Widened (ATR × 1.8)
TP Distance Widened (ATR × 3.6)
Expiry Time Extended
Trade Frequency Reduced

Low Volatility Regime

Parameter Adjustment
Position Size Increased (Risk% × 1.3)
SL Distance Tightened (ATR × 1.2)
TP Distance Tightened (ATR × 2.4)
Expiry Time Shortened
Trade Frequency Increased

Regime Detection Method

The system calculates the current ATR relative to the 20-period average ATR. If current ATR is above the average, high volatility regime is activated. If below, low volatility regime is activated.

Adaptive Risk Percentage

The system scales position sizing based on volatility conditions:

Risk Calculation

Risk% = Base Risk% × Volatility Adjustment Factor

Where:

  • Base Risk% is user-defined (recommended: 0.5% to 2%)

  • Volatility Adjustment Factor: 0.7 for high volatility, 1.0 for normal, 1.3 for low volatility

This ensures consistent risk exposure in dollar terms across varying market conditions.

Auto-Compounding and Kelly Criterion

Auto-Compounding

The system automatically reinvests profits, increasing position sizes as the account grows. This accelerates growth during winning periods.

Kelly Criterion Implementation

Position sizing based on historical win rate and risk-reward ratio:

Kelly% = (Win Rate × Average Win) / Average Loss

The system applies a fractional Kelly (0.25 to 0.5) for conservative risk management, preventing over-leveraging.

Trading Modes

Single-Pair Mode

The EA analyzes and trades one specific pair on the chart to which it is attached. All signals and risk calculations apply to that single instrument.

Multi-Pair Mode

One EA instance manages multiple symbols from a single chart. The system reads data from all listed pairs in the Market Watch window. Each pair is evaluated independently, while global risk limits apply across all positions.

Multi-Pair Levels

Level Name Pairs
0 Beginner 3
1 Intermediate 7
2 Advanced 15
3 Expert 23
4 Pro 30
5 Custom User-defined

In Multi-Pair mode, the system applies volatility-based adjustments independently for each instrument, recognizing that different pairs exhibit different volatility characteristics.

Risk Management Features

  • Daily loss limit (user-configurable percentage)

  • Daily profit target (stops new positions)

  • Circuit breaker: 30% drawdown triggers full close and 24-hour pause

  • Maximum concurrent positions limit

  • Correlation filter (threshold set at 0.7)

  • Consecutive loss tracking with automatic risk reduction

  • Auto-compounding option

  • Kelly criterion position sizing

  • Anti-martingale functionality

  • Volatility-based risk adjustment

  • Pending order cleanup for stale orders

Requirements

  • MetaTrader 5 platform

  • Minimum recommended deposit: $100 for cent accounts, $500 for standard accounts

  • Supported timeframes: all timeframes (M15, H1, H4 commonly used)

Setup Instructions

  1. Attach the EA to a single chart (for example, EURUSD M15)

  2. Select the desired trading mode (Single-Pair or Multi-Pair)

  3. If using Multi-Pair mode, choose the appropriate level or define custom pairs

  4. Configure ATR parameters (period, multiplier base)

  5. Set volatility regime switching thresholds

  6. Configure risk parameters (daily loss, position size, and related settings)

  7. Test the EA on a demo account before live deployment

Important Notes

  • The EA automatically detects broker suffixes such as .m, .c, .cent, .pro, and .ecn

  • Maximum lot size protection is included

  • ATR period is user-adjustable (default 14 periods)

  • The system performs best with consistent volatility monitoring

  • Pending order cleanup prevents stale entries in fast-moving markets

  • Backtesting using MultiTester is recommended for multi-pair optimization

Frequently Asked Questions

What is the minimum deposit?
$100 for cent accounts, $500 for standard accounts.

Which timeframe works best?
M15 for day trading, H1 for swing trading. Higher timeframes may provide more stable ATR measurements.

How does the volatility regime switching work?
The system compares current ATR to the 20-period average ATR. If current ATR is higher, high volatility mode is activated. If lower, low volatility mode is activated.

What is the pending order cleanup threshold?
Orders that deviate more than 2.5x ATR from the current market price are automatically removed to prevent stale entries.

How does adaptive risk percentage work?
The system adjusts position sizing based on volatility. During high volatility, position size is reduced by 30%. During low volatility, position size is increased by 30%.

What is the difference between this system and a fixed-parameter system?
This system automatically adjusts all trading parameters based on real-time volatility, eliminating the need for manual parameter changes across different market conditions.

Can this EA be backtested?
Yes. Use the MultiTester feature for multi-pair backtesting. The dynamic ATR adjustments are fully simulated in backtesting.

How many activations are provided?
Activation limits are set by the seller at the time of purchase, with a minimum of 5 activations per buyer.

Disclaimer

Trading forex, cryptocurrencies, and indices carries a high level of risk. You may lose all of your invested capital. Volatility Reactive System is a trading tool and does not guarantee profits.

Users are advised to:

  • Perform backtesting and forward testing on demo accounts

  • Apply appropriate risk management strategies

  • Understand the system's functionality before live trading

  • Avoid using emergency funds or borrowed capital

  • Be aware that volatility-based strategies may underperform during sudden volatility spikes that exceed historical ranges

Past performance does not guarantee future results. Settings should be adjusted to current market conditions. By using this product, you acknowledge and accept these risks.


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Scalping Index Pro is a professional trading system designed specifically for fast and precise scalping on US30 and DE40 using the M1 timeframe . The system has been developed specifically for the unique behavior of major stock indices, focusing on short term price movements, rapid momentum changes, market volatility, and selective grid based trade management techniques to identify high probability trading opportunities . Scalping Index Pro is optimized for traders who prefer dynamic trading wit
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O que é o Lizard? O Lizard é um Expert Advisor totalmente automático para XAUUSD (ouro) no MetaTrader 5. Ele utiliza um sistema de rompimento de swing com várias estratégias: o Expert Advisor identifica níveis estruturais importantes no gráfico e coloca ordens stop pendentes em pontos de entrada calculados. Sem martingale, sem grid, sem aumentar posições no prejuízo. Cada operação é aberta com stop loss e take profit definidos e depois gerida por um sistema de saída de várias camadas, sem interr
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Sinal de negociação ao vivo Monitoramento público em tempo real da atividade de negociação: https://www.mql5.com/pt/signals/2372719 Informações oficiais Perfil do vendedor Canal oficial Manual do usuário Instruções de configuração e uso: Ver manual do usuário Zerqon EA e um Expert Advisor adaptativo desenvolvido especificamente para negociacao em XAUUSD. A estrategia e baseada em um modelo de rede neural Deep LSTM integrado atraves de ONNX, permitindo que o sistema processe o comportam
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5 (2)
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The Gold Space
Ayush V Jain
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LIVE SIGNAL REACHED NEW HIGH Live Signal on Vantage https: // www.mql5.com/en/signals/2378090 https: // www.mql5.com/en/signals/2378091 live signal is running mode/option 1 with autolot 2 % risk. Join telegram group   https://t.me/+UaALtDiYMb4xYTk1 Overview:  The Gold Space is a fully automated, professional-grade Expert Advisor specifically engineered for the XAUUSD (Gold) market. Designed natively for MetaTrader 5, this EA capitalizes on high-probability volatility expansions using a precise,
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SwingForge Gold MT5 — Multi-Zone Breakout Engine 4 Copies left then the price will be increased to: $299 — Current Price: $249 If you’ve traded Gold (XAUUSD), you already know the problem: most automated EAs rely on dangerous grids, martingale, or cost-averaging that look great until one big trend wipes out the account. SwingForge Gold was built on the opposite philosophy: strict risk management and pure price action. It trades confirmed swing breakouts using pending stop orders. Every sin
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AETHERION ZENITH AI EA A evolução da automação precisa para o trading de ouro Sinal público ao vivo para monitoramento em tempo real: https://www.mql5.com/ru/signals/2381671 Oferta limitada de lançamento As primeiras 7 cópias estão disponíveis por apenas $259 . Assim que essas cópias forem vendidas, o preço aumentará imediatamente em $100 — para $359 . Esta oferta introdutória é destinada a traders que desejam entrar no Aetherion Zenith AI EA na fase inicial e acompanhar a evolução do sistema at
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SomaGold é um Expert Advisor multiestratégia de breakout para MetaTrader 5, feito exclusivamente para ouro (XAUUSD). Um gráfico, um EA, 32 estratégias independentes rodando juntas como um único portfólio diversificado. Sinal ao vivo. Este é o meu primeiro EA publicado na MQL5. Para torná-lo acessível no lançamento, uso um modelo transparente de preço escalonado: Preço de lançamento: 100 USD O preço aumenta 100 USD a cada 10 cópias vendidas Compradores antecipados garantem o menor preço durante t
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Benicanoko
Now $399 — Only 10 Copies Available Secure your copy at $399 before the next price increase to $599. DeMoore Expert Advisor is a high-precision scalping Expert Advisor developed exclusively for XAUUSD (Gold) on the M5 timeframe. The De Moore Expert Advisor performs market analysis based on trend-following and price action concepts. The analysis is also based on multi-timeframe analysis. Live Signal        My Setfile on ICM How De Moore EA Works for You Buy the EA on MQL5 Market Install on MetaTr
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4.57 (23)
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