Forex/Gold/actions expert advisor

MQL5 Uzmanlar

Şartname

Professional MT5 Multi-Asset Trading Robot

Realistic Architecture & Practical Characteristics Specification

Below is a filtered, realistic, and practical specification for an excellent automated MT5 Expert Advisor focused on XAUUSD scalping (M1–M15) with multi-asset capability. I've removed marketing fluff and kept only what's technically achievable and profitable in live trading conditions.

CORE IDENTITY

Attribute             Specification

Platform              MetaTrader 5 (native MQL5)

Primary Asset    XAUUSD (Gold)

Secondary Assets             XAGUSD, EURUSD, GBPUSD, USDJPY, AUDUSD, US30, NAS100, GER40, USOIL, BTCUSD

Timeframes (Execution) M1, M5, M15

Timeframes (Bias)            H1, H4, D1, W1

Trading Style      Scalping + Intraday hybrid

Risk Profile          Conservative-to-Moderate (0.25%–2% per trade)

    

1. MULTI-STRATEGY INTELLIGENCE ENGINE (Practical Build)

Rather than 20 modules running simultaneously (which causes conflicts), use a Market Regime Classifier that activates only 1–2 strategies at a time.

Market Regime Detector (runs every new bar)

Uses these inputs to classify regime:

             ADX (Average Directional Index) (14) → trend strength

             Bollinger Band Width → volatility expansion/contraction

             ATR percentile (last 100 bars) → volatility regime

             Higher-high / higher-low structure count → trend vs. range

             Volume delta (tick volume on MT5) → participation

Regime → Strategy Mapping

Detected Regime             Activated Strategy Modules

Strong Trend (ADX > 25) Trend-following + Pullback + BOS continuation

Ranging (ADX < 20, narrow BB)   Mean reversion + S/R reaction + FVG fill

Volatility Expansion        Breakout + Opening Range Breakout

Pre-News / Manipulation             STAND DOWN (no trades)

Liquidity Sweep Detected            SMC entry (Order Block + MSS confirmation)

Session Open Volatility  Momentum + Session breakout

Practical advantage: prevents conflicting signals and overfitting.

2. CONFLUENCE TRADE SCORING SYSTEM (No fake "AI")

A weighted scoring engine — transparent, testable, and tunable.

text

TRADE SCORE COMPONENTS (Total 100)

─────────────────────────────────────────

HTF Trend Alignment (H4/D1).........20

Market Structure (BOS/MSS confirm)..15

Order Block / S&D Zone Reaction.....15

Liquidity Sweep Detected............10

Fair Value Gap Present..............10

Momentum Confirmation (RSI/MACD)....10

Session Timing Bonus................10

Volume / Tick Confirmation..........05

Spread Within Threshold.............05

─────────────────────────────────────────

EXECUTION THRESHOLDS:

≥ 75  → Full size trade

60–74 → Half size trade

< 60  → No trade

 

3. MULTI-TIMEFRAME TOP-DOWN ANALYSIS

Timeframe          Purpose

W1 / D1                Macro bias (bull/bear/neutral)

H4           Swing structure, key zones

H1           Intraday bias + POI (Point of Interest)

M15       Setup formation

M5 / M1               Entry trigger + execution

Rule: Trade only when M5 trigger aligns with H1 + H4 bias. Counter-trend trades require score ≥ 85.

4. XAUUSD SPECIALIZED ENGINE

Practical gold-specific logic:

             ATR (14) on M5 for stop calculation → minimum 1.5× ATR

             Spread filter: reject trades if spread > 35 points (broker-adjustable)

             Kill zones: London 07:00–10:00 GMT, NY 12:30–15:30 GMT

             Avoid zones: 21:00–01:00 GMT (low liquidity, wide spreads)

             News blackout: 15-30 minutes before/after high-impact USD events

             Fake breakout filter: require bar close beyond level + retest confirmation

             Spike protection: ignore any candle > 4× ATR (likely manipulation)

 

5. SESSION INTELLIGENCE

text

ASIAN     (00:00–07:00 GMT) → Range trades, reduced size (0.25%)

LONDON    (07:00–12:00 GMT) → Breakout + trend trades (1%)

OVERLAP   (12:00–16:00 GMT) → Most aggressive (up to 2%)

NY CLOSE  (16:00–21:00 GMT) → Reduced activity (0.5%)

DEAD ZONE (21:00–00:00 GMT) → NO TRADES

 

6. NEWS FILTER

             Integrates with ForexFactory XML calendar (downloaded daily)

             30 min before high-impact news → no new trades

             15 min after → resume with reduced size

             At news time: option to close all, tighten stops, or hold (user choice)

             Tracks: FOMC, NFP, CPI, PPI, Interest Rate decisions, GDP

   

7. SPREAD & EXECUTION GUARDS

Check    Action if Failed

Spread > max threshold Cancel signal

Slippage > 3 pips               Reject order

Server latency > 100ms  Alert + skip

Requote received            Retry 2x then abort

Market closed / freeze level breach – all positions to close at 11.50 EST (New York Timezone)       Skip

8. DYNAMIC POSITION SIZING

text

Lot Size = (Account_Balance × Risk%) / (SL_in_pips × Pip_Value)

 

Where Risk% is determined by:

- Base risk: 0.5%

- + Score bonus: (Score-75)/25 × 0.5%   [max +1%]

- - Drawdown penalty: if DD > 5%, halve risk

- - Consecutive losses: reduce 25% per loss after 2nd

- Cap: 2% maximum per trade

 

9. ADAPTIVE STOP LOSS

             Primary: 1.5× ATR(14) beyond entry

             Structural: beyond last swing high/low (whichever is wider)

             Liquidity-aware: placed beyond nearest liquidity pool (avoid stop hunts)

             Hard cap: never wider than 2% account risk

 

10. INTELLIGENT TAKE PROFIT (Scaled Exits)

Level     Action   RR Target

TP1         Close 50% + move SL to break-even         1:1.5

TP2         Close 30%            1:3

TP3         Runner with trailing stop              1:5+

 

11. SMART TRAILING STOP

Three trailing modes, auto-selected by regime:

             ATR Trail: distance = 1.5× ATR (trending markets)

             Structure Trail: trails behind each new swing point (strong trends)

             MA Trail: uses EMA 21 on M5 (smooth trends)

 

12. ACTIVE TRADE MANAGEMENT

After trade is live, EA monitors:

             Momentum loss: RSI crosses back through 50 → tighten SL

             Volatility collapse: ATR drops 40% → close partial

             Opposing structure shift: MSS against position → close trade

             Time stop: if trade hasn't moved 0.5R in 30 bars (M5) → close

             Session expiry: close positions 10 minutes before dead zone if not in profit

 

13. DRAWDOWN DEFENSE SYSTEM (Capital Preservation)

text

Daily DD limit:    4%   → stop trading for the day

Weekly DD limit:   8%   → reduce risk by 50% next week

Monthly DD limit:  12%  → enter recovery mode (0.25% risk only)

Consecutive losses: 4  → pause 24 hours

Hard-coded kill switch — cannot be bypassed.

 

14. CORRELATION & EXPOSURE CONTROL

             Maintains internal correlation matrix (rolling 30-day)

             Max 2 USD-exposed positions simultaneously

             Max 1 gold/silver position at a time

             Total open risk capped at 4% of account

             Blocks new trade if it increases net directional exposure beyond limit

 

15. MULTI-ASSET SCANNER

             Scans all configured symbols every 15 seconds

             Calculates trade score per symbol

             Ranks opportunities, executes only top 1–2

             Respects per-asset session validity

 

16. OPPORTUNITY RANKING DASHBOARD

text

╔══════════════════════════════════════╗

  EXPER ADVISOR Live Opportunities 

╠══════════════════════════════════════╣

  XAUUSD   Score: 88  BUY   M5     

  NAS100   Score: 76  SELL  M15     

  EURUSD   Score: 62  --    --      

  GBPUSD   Score: 45  --    --     

╚══════════════════════════════════════╝

 

17. CONTROLLED OPTIMIZATION (NOT True ML)

Realistic approach — avoid overfitting:

             Weekly auto-recalibration of strategy weights based on rolling 30-day performance

             Per-session win-rate tracking → adjusts session aggression factor

             Per-strategy P&L tracking → temporarily disables a strategy if it loses 5 trades in a row

             Manual approval required for parameter shifts > 20%

 

18. MANIPULATION DETECTION

Specifically tuned for Gold:

             Stop hunt pattern: wick spike > 2× body, reverses within 3 bars → fade signal

             Liquidity grab: sweep of obvious swing high/low + immediate reversal → SMC entry

             Fake breakout: breakout candle without volume confirmation → reject

             Equal highs/lows: flagged as liquidity targets, not entry zones

 

19. MT5 NATIVE OPTIMIZATION

             Pure MQL5, Object Oriented Programming architecture

             Compatible with tick-level backtesting (99% modeling quality)

             Multi-threaded strategy tester support

             Cloud optimization compatible

             VPS-optimized (low CPU usage, < 50MB RAM)

             Magic number system for multi-instance deployment

 

20. DASHBOARD (On-Chart Panel)

Section Metrics Displayed

Performance     Win rate, Profit factor, Avg RR

Risk        Current DD, Daily P&L, Open risk %

Open Trades      Symbol, side, score, P&L, SL/TP

Market State      Regime, Session, Spread, ATR

News    Next event countdown, impact level

Scanner Top 5 ranked opportunities

Controls               Pause / Close all / Risk slider

 

21. REALISTIC PERFORMANCE TARGETS

Metric   Realistic Target

Profit Factor       1.6 – 2.2

Win Rate             75% – 80%

Avg Risk:Reward               1 : 2 minimum

Max Drawdown < 12%

Recovery Factor                > 2.5

Monthly Return (target) Minimum 50%

Sharpe Ratio       > 1.5

️ Reject any EA claiming 90%+ win rate or 50% monthly returns — these are martingale/grid scams.

EXPLICITLY EXCLUDED (DANGEROUS LOGIC) / PROHIBITED / DON’T INCLUDE

Martingale lot doubling

Grid systems without stops

No-SL "hedging" recovery

Revenge / re-entry after stop-out

Fixed lot scaling

"Guaranteed profit" claims

Tick-counting overoptimized indicators

 

DEPLOYMENT CHECKLIST

Before going live:

1.            Backtest 2+ years tick data on XAUUSD

2.            Forward test 30+ days on demo

3.            Test on 5 different brokers (spreads differ)

4.            VPS with <20ms latency to broker

5.            Start live with 0.25% risk for 2 weeks

6.            Scale up only after 50+ live trades show stable PF > 1.5

 

WINNING ARCHITECTURE SUMMARY

Regime Detection → Multi-TF Bias → SMC Entry Trigger → Confluence Score ≥ 75 → ATR Risk Sizing → Scaled TP + Smart Trail → Drawdown Guardrails

This is the realistic, professional architecture that institutional-grade retail EAs use. It will not make you rich overnight, but it has a genuine statistical edge and will protect capital — which is what actually matters in long-term trading.


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