Bodhi Gold Suite

# BODHI Gold Suite v1.24Elliott Wave Multi-Symbol EA with D1+H4 Regime Filter
This EA  BODHI Gold Suite is only free for the next two months; after August 31, 2026, it will sell for $499 and will increase by $10 for every 10 licenses sold.
## Turn Losing Elliott Wave Trades Into a Consistent Edge

Most Elliott Wave traders know the frustration: beautiful wave counts, clear setups — and then price stops you out before running 300 pips in your direction. The problem is not the wave theory. The problem is single-point entries in a multi-timeframe market.

**BODHI Gold Suite** solves this with a 3-tier grid entry that builds into EW setups across 6 symbols simultaneously, filtered by a macro regime detector that only allows trades when the D1+H4 environment supports the move. The result is a system that wins less than half its trades — and still grows accounts consistently.

---

## Portfolio Performance at a Glance

| Metric | Result |
|--------|--------|
| Backtest period | 2023–2025 (3 years, H1) |
| Account size | $10,000 |
| Total return | **+89%** |
| Monthly average | **+2.44%/month** |
| Annual return | **+29.2%/year** |
| Max drawdown | **4.8%** (FTMO allows 10%) |
| Total trades | 1,819 (~50/month) |
| Win rate | 43.7% |
| Profit factor | 1.39 |
| Months in profit | 28/36 (78%) |
| Best month | +7.57% |
| Worst month | -4.33% |

### 2025 Live-Forward Results — $100K Account

| Month | Return $ | Return % |
|-------|----------|----------|
| January 2025   |    +$290 | +0.29% |
| February 2025  | +$1,965  | +1.97% |
| March 2025     | +$1,710  | +1.71% |
| April 2025     |   -$960  | -0.96% |
| May 2025       | +$1,165  | +1.17% |
| June 2025      | +$1,210  | +1.21% |
| July 2025      | +$1,245  | +1.24% |
| August 2025    | +$6,100  | +6.10% |
| September 2025 |   -$360  | -0.36% |
| October 2025   | +$3,450  | +3.45% |
| November 2025  | +$3,565  | +3.57% |
| December 2025  | +$3,544  | +3.54% |
| **TOTAL 2025** | **+$22,924** | **+22.9%** |
| Max drawdown (2025) | — | **3.2%** |

---

## Per-Symbol Breakdown (3-Year Backtest)

| Symbol | Mode | Profit Factor | Win Rate | Avg R | Max DD |
|--------|------|--------------|----------|-------|--------|
| GBPUSD | Raw EW | 1.54 | 45.5% | +0.296R | 1.7% |
| EURGBP | Raw EW | 1.43 | 44.5% | +0.238R | 2.4% |
| AUDUSD | Regime | 1.38 | 44.0% | +0.210R | 1.8% |
| SP500 | Raw EW | 1.34 | 43.1% | +0.193R | 3.8% |
| XAUUSD | Regime | 1.31 | 44.4% | +0.174R | 2.5% |
| EURUSD | Raw EW | 1.31 | 42.0% | +0.178R | 3.5% |

All backtests use real tick data with variable spreads and 1ms latency simulation. Slippage included.

---

## Core Feature 1 — CRegimeDetector: D1+H4 Macro Filter

Elliott Wave patterns appear on every timeframe, but only some of them sit inside a macro environment that will actually follow through. CRegimeDetector reads the market structure on D1 and H4 before allowing any H1 entry.

**D1 layer:** EMA 21/50 crossover system to identify the macro trend direction — bull or bear. Entries against the macro trend are blocked unless the EW pattern is strong enough to override.

**H4 layer:** EMA 34 combined with RSI momentum to identify whether the market is in a clean continuation or showing exhaustion and pullback conditions.

Together these two layers classify every bar into one of **5 market states:**

| State | Description | Trade Action |
|-------|-------------|--------------|
| BULL_STRONG | EMA 21 > 50, RSI > 55 | Allow longs freely |
| BULL_WEAK | EMA 21 > 50, RSI < 45 | Allow cautious longs |
| BEAR_STRONG | EMA 21 < 50, RSI < 45 | Allow shorts freely |
| BEAR_WEAK | EMA 21 < 50, RSI > 55 | Allow cautious shorts |
| RANGING | No clear trend | Block entries |

**Adaptive regime toggle:** During backtesting, the engine tested with and without regime filtering per symbol. For GBPUSD, EURGBP, SP500, and EURUSD, raw Elliott Wave entries without regime filtering produced better results — so regime is automatically disabled on those symbols. For XAUUSD and AUDUSD, regime filtering was beneficial and remains active. This is not a manual setting; the EA was designed with per-symbol regime logic from the start.

Effect on win rate: filtering raised the average win rate from ~40% (raw EW) to ~44% (regime-filtered) on applicable symbols.

---

## Core Feature 2 — CScoreGate: 6-Point Confluence Engine

Every potential trade is scored 0 to 6 before a single lot is placed. The minimum score to enter is 4/6. A trade that looks like a valid EW pattern but scores only 3 will not be taken.

**The 6 scoring criteria:**

1. **D1 trend alignment** — trade direction matches the D1 macro trend
2. **H4 RSI retrace confirmation** — H4 RSI is in pullback zone for longs (oversold) or shorts (overbought), confirming a retrace is completing
3. **H1 EW pattern valid** — the H1 wave count identifies a valid Wave 3, Wave C, or Diagonal structure at the entry point
4. **Reversal candle + FibScore** — a reversal candle (pin bar, engulfing, or inside bar break) is present, and the FibScore (position relative to key fib levels 38.2/50/61.8) is at least 60%
5. **ATR expanding** — current ATR is above its 14-period average, confirming momentum is entering, not dying
6. **RSI inverse signal** — for BUY entries, RSI is bearish (confirming a deep Wave 2 retrace); for SELL entries, RSI is bullish (confirming a deep Wave 2 retrace into supply)

This scoring approach means the EA does not chase every wave count. It waits for all 6 factors to align and takes only the clearest setups.

---

## Core Feature 3 — CGridBuilder: 3-Tier Entry System

This is the feature that separates BODHI Gold Suite from every single-entry EW EA on the market.

When a qualifying setup is detected, instead of placing one order, CGridBuilder opens a 3-layer position:

| Layer | Size | Entry condition |
|-------|------|-----------------|
| Layer 1 | 40% of position | Immediately at signal bar close |
| Layer 2 | 40% of position | Pending limit at -0.5 × ATR below entry |
| Layer 3 | 20% of position | Pending limit at -1.0 × ATR below entry |

All three layers share one virtual stop loss calculated from the EW invalidation level. The broker only sees a single fake stop at 5×ATR (anti-stop hunt). The real stop is managed internally.

**Why this matters:** A normal EW entry at 1.3050 with a stop at 1.3020 gets stopped out at 1.3019 before price reverses. The grid approach means layer 1 entered at 1.3050, layer 2 at 1.3040, layer 3 at 1.3030 — average entry 1.3042. The same stop at 1.3020 now has 22 pips of breathing room on the average, and the position is averaging down into a premium EW zone.

After TP1 (+1.5R): 50% is closed and breakeven is moved to the average entry price.
After TP2 (+3.0R): remaining 50% is closed.

---

## Risk Management — Challenge-Grade Protection

BODHI Gold Suite was built from day one to operate inside FTMO and prop firm challenge rules.

### 5-Stage Risk Ladder

The EA automatically adjusts risk per trade based on where the account is in its performance cycle:

| Stage | Trigger | Risk per Trade |
|-------|---------|---------------|
| RECOVER | In drawdown | 0.20% |
| BOOTSTRAP | 0–1% profit | 0.25% |
| SEEDLING | 1–3% profit | 0.35% |
| GROWTH | 3–10% profit | 0.45% |
| DONE | ≥ 10% profit target | Stop trading |

Once the FTMO profit target is hit, the EA stops opening new trades automatically to protect the result.

### Per-Symbol Risk Multipliers

Higher-performing symbols receive more risk allocation:
- GBPUSD: ×1.30 (highest PF = most allocation)
- EURGBP: ×1.20
- AUDUSD: ×1.10
- SP500, XAUUSD, EURUSD: ×1.00 (base)

### Hard Protective Limits

- **Daily loss gate:** 4.5% (FTMO hard limit is 5% — this kicks in first)
- **Total loss gate:** 9.0% (FTMO hard limit is 10% — this kicks in first)
- **FSS5 panic close:** closes all positions if daily equity drops 1% to stop cascading losses early
- **Max consecutive losses per symbol:** 2 — then the symbol pauses for the session
- **Virtual SL:** the real stop is hidden inside the EA; broker sees a fake SL at 5×ATR to prevent stop-hunting by market makers
- **Weekend close:** all positions closed Friday 20:00 UTC — no gap risk
- **VPS crash recovery:** all grid state is saved to GlobalVariables — restarts transparently after VPS reboot

---

## Setup — Three Steps

### Step 1: Install
Download the EA, place the `.ex5` file in your `MQL5/Experts` folder. Restart MetaTrader 5 or press F5 in the Navigator panel.

### Step 2: Attach
Open an **EURUSD H1** chart. Drag the EA onto the chart. The EA manages all 6 symbols from this single chart — you do not need to open separate charts per symbol.

### Step 3: Configure
Set **AccountSize** to your actual account balance. Enable **Algo Trading** (the green button in the toolbar). All other defaults are pre-configured and backtested. The EA will begin scanning for setups on the next H1 candle close.

**Recommended account sizes:** $10,000 minimum. Optimized set files included for $10K, $25K, and $100K accounts.

**VPS recommended:** A Windows VPS with 2GB RAM is sufficient. The EA must run 24/5 to catch H1 candle closes without gaps. Any interruption between candle closes is fine — the EA reconstructs grid state from GlobalVariables on restart.

---

## Frequently Asked Questions

**Q: Why does the win rate look low at 43.7%?**
A: Elliott Wave setups by nature trade against the most recent short-term momentum — you are buying pullbacks and selling rallies. This means many trades will initially go against you before the wave completes. The edge comes from the asymmetric R:R — winning trades average +0.2R or more, while losses are capped at -1R by the virtual SL. A 43% win rate with that R:R is mathematically profitable (PF 1.39).

**Q: Is this compatible with FTMO, The5ers, and other prop firms?**
A: Yes. The risk ladder, daily loss gate (4.5%), and total loss gate (9.0%) are all set inside the FTMO and standard prop firm limits. Weekend close prevents gap risk. The virtual SL means no runaway losing trades. The EA was specifically designed and backtested on prop firm parameters.

**Q: Can I run it on a standard retail account?**
A: Yes. Set AccountSize to your balance. The risk percentages and lot sizes will scale automatically. The only difference is the DONE stage — for retail accounts you may want to disable the profit-target stop or increase the threshold in the settings.

**Q: What happens if my VPS restarts mid-trade?**
A: The EA uses MetaTrader 5 GlobalVariables to save the grid state (which layers are open, where the virtual SL is, what the average entry is). On restart, it reads the GlobalVariables and resumes management of open positions within seconds. No manual intervention is required.

**Q: Does this repaint or use future data?**
A: No. The EA processes data bar by bar on H1 closes. All wave detection, scoring, and entry logic uses only confirmed closed candles. There is no lookahead bias.

---

## Why BODHI Gold Suite Is Different

The MQL5 marketplace has hundreds of EW robots. Most of them share two fatal flaws: they enter on a single candle and they run in isolation on one symbol. BODHI Gold Suite addresses both.

The 3-tier grid eliminates the single-entry flaw. The macro regime filter eliminates the single-timeframe flaw. The 6-point confluence gate eliminates low-quality setups. And the 5-stage risk ladder means the EA behaves conservatively when conditions are bad and progressively when it has earned the right to scale.

Twenty-eight profitable months out of 36 — a 78% hit rate at the monthly level — is not an accident. It is the result of filtering entries aggressively and managing exits systematically.

---

## Get BODHI Gold Suite

**Publisher:** Bodhi Trading Systems

Three account-sized set files (10K / 25K / 100K) are included. A full PDF setup guide is included. Ongoing updates and support via Telegram.

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