Smart Reversal Apex
- Эксперты
-
Panagiotis Tsarouchas
Algorithmic trading developer with over 5 years of experience in index markets, covering both short-term trading and long-term investing. Specialized in automated strategies, risk management and prop-firm compatible trading tools. - Версия: 1.60
- Активации: 10
Smart Reversal Apex is an automated MetaTrader 5 Expert Advisor designed primarily for major stock indices, especially SP500 and NAS100.
The strategy analyzes price behavior during the transition from the Asian session into the European/London session. It looks for a meaningful decline during the Asian session, followed by price stabilization and improving M15 structure before considering a long entry.
The EA does not use grid, martingale or averaging systems. Each trade is managed through configurable Stop Loss, Take Profit and trailing-stop controls.
Main features
- Designed primarily for index CFDs, especially SP500 and NAS100
- Can also be tested on other liquid CFDs and market symbols
- Session-based reversal logic
- M15 price-structure confirmation
- No grid
- No martingale
- One controlled position per setup
- Fixed lot sizing
- Balance-based lot sizing
- Automatic risk-% position sizing
- Maximum account drawdown protection
- Daily equity drawdown protection
- Configurable Stop Loss and Take Profit
- Advanced trailing-stop management
- Broker, UTC and custom timezone configuration
- Broker minimum-stop and volume validation
Risk management
Smart Reversal Apex includes several risk-control options designed to help users adapt the EA to different account sizes and trading requirements. Position size, maximum lot, Stop Loss, Take Profit and drawdown limits can all be configured from the Inputs panel.
Prop-firm use
The EA includes risk-management tools that can be configured for prop-firm-style account rules, including percentage-based position sizing, account drawdown protection, daily equity drawdown limits and maximum lot controls.
Users should always adjust the EA according to the exact rules of their prop firm, as daily-loss calculations, overall drawdown limits, reset times and trading restrictions can vary between firms. The EA does not guarantee passing any prop-firm evaluation.
Recommended use
The EA was developed with major index CFDs in mind. Although it can also be tested on other liquid CFDs and market symbols, performance and suitable settings may vary depending on the instrument, volatility profile, broker specifications, trading hours, spreads and contract size.
Users should verify the settings for their own broker and account before live trading.
Parameter Recommendation Symbol SP500/NAS100 Timeframe M15 Minimum Balance $1000 (using 10 lot) Leverage 1:30 to 1:500 (Hedging account) Account Type ECN / Raw Spread VPS Low-latency Windows VPS recommended (<20ms to broker) Broker
Optimized on Vantage.
Important: The shown backtesting is a high-risk configuration. Lot sizes, drawdown limits and other risk parameters should always be adjusted according to your account balance, broker specifications, leverage and personal risk tolerance.
Backtesting and historical results do not guarantee future performance. Always test the EA in the Strategy Tester and on a demo account before using it with real funds.
