RSI Momentum Breakout 1x3 RR

RSI Momentum Breakout 1-3 RR

Overview

RSI Momentum Breakout 1-3 RR is an aggressive trend-following automated trading system designed to capitalize on explosive price momentum. Instead of predicting reversals, this EA identifies strong institutional cash flows when the Relative Strength Index (RSI) breaches extreme volatility thresholds. By strictly adhering to a dynamic 1:3 Risk-to-Reward Ratio across a capped 2-layer Smart Scaling system, this EA aims to catch the strongest part of a new trend.

This strategy reverses the traditional mean-reversion logic, focusing on continuation at peak momentum levels for high-conviction trade setups.

Core Execution & Trading Logic

  • RSI Parameters: Period 14 | Breakout Upper: 80 (Bullish Momentum) | Breakout Lower: 20 (Bearish Momentum).

  • Buy Signal:

    • Confirmation: The current candle closes with the RSI crossing and closing above level 80 .

    • Logic: Signals massive bullish strength and high probability of price continuing its upward trajectory.

  • Sell Signal:

    • Confirmation: The current candle closes with the RSI crossing and closing below level 20 .

    • Logic: Signals massive bearish strength and high probability of price continuing its downward trajectory.

  • Controlled 2-Layer Smart Scaling:

    • Maximum open positions: Capped at 2 positions per direction.

    • The second layer opens only when a NEW valid RSI breakout signal recurs—never on fixed pips or arbitrary time intervals.

    • Initial Lot: 0.01 | Second Layer Lot: 0.02 (Total maximum volume: 0.03 Lots).

  • Exit Strategy (1-3 RR):

    • Pre-defined, dynamic Stop Loss (SL) and a Take Profit (TP) set at exactly three times the risk distance (TP = 3 X SL).

Key Advantages

  • Explosive Momentum Capture: Directly enters the strongest, most institutional part of a price movement, avoiding false reversals.

  • Asymmetric Risk-to-Reward (1-3): Operates on a mathematical edge, requiring only a >25% win rate to maintain long-term structural viability.

  • Capped Risk Architecture: Fixed Stop Losses and a rigid 2-layer position limit prevent catastrophic drawdown and account depletion.

Recommended Operating Parameters

  • Timeframe: M15 / H1 / H4 (Better for trend identification).

  • Asset Classes: Trending Majors, Indices, and Gold.

  • Risk Disclaimer: Trading forex and momentum breakout involve substantial risk. Past success, backtests, or simulated results do not guarantee future performance. Always forward-test on a demo account.


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