Amaryllis Institutional Momentum Trading

 AMARYLLIS — INSTITUTIONAL MOMENTUM TRADING v2.04
Expert Advisor for MetaTrader 5 | by Rafael Vasili

Experience the full EA on your broker for 3 months at $149.

Full license valued at $1,490 — rental is a limited early-access offer.

LIVE SIGNAL ALSO HERE https://www.mql5.com/en/signals/2360249?source=Site+Signals+Favorites 

WHAT IS AMARYLLIS?

Amaryllis is an institutional-grade momentum Expert Advisor engineered around a single principle: trend strength dictates everything.

The core engine is built entirely on the Average Directional Index (ADX) with directional movement components (DI+/DI−). It identifies and captures institutional momentum regimes while systematically filtering out mean-reverting, choppy markets. Entry occurs exclusively when ADX crosses above a calibrated threshold — isolating the precise moment a trending regime initiates — with directional bias determined by the dominant DI component.

One indicator. Seven years. Every market regime survived.

While most Expert Advisors layer dozens of indicators in pursuit of complexity, Amaryllis proves that a single, disciplined momentum engine — validated across two independent brokers and every market regime since 2019 — delivers superior risk-adjusted performance.

No martingale. No grid. No neural network. No curve-fitting. Fully transparent, rules-based, institutional-grade momentum capture.


WHY ONE INDICATOR OUTPERFORMS TWENTY

The greatest risk in algorithmic trading is overfitting — constructing a system that memorizes historical noise but fails on live data. Every additional indicator multiplies the degrees of freedom and the probability of curve-fitting.

Amaryllis eliminates this risk by design. The entire signal generation, entry logic, and exit framework operates on a single indicator: ADX. This produces the minimum possible parameter space, resulting in a system that transfers across market regimes, broker environments, and timeframes without degradation.

The source code is clean, institutional-grade MQL5 — no external DLLs, no web requests, no hidden dependencies. Every function is documented. Every parameter has a clear economic rationale.

This is not simplicity for its own sake. This is deliberate parameter discipline — the same philosophy employed by the most durable systematic strategies in the managed futures industry.


WALK-FORWARD VALIDATION

Robustness is not measured by in-sample performance. It is measured by survival on unseen data.

Amaryllis was validated using strict walk-forward protocol on two independent broker environments:

In-Sample Optimization (2019.01.01 – 2023.01.01): Parameters were calibrated on historical data encompassing the COVID-19 crash and recovery (2020), the post-pandemic melt-up (2021), and the aggressive rate-hiking bear market (2022). Every major regime of the past decade is represented.

Out-of-Sample Deployment (2023.01.01 – 2026.02.12): The optimized parameters were deployed on three full years of completely unseen data with zero adjustment. The strategy had never encountered a single tick of this data during development.

Multi-Broker Validation: The strategy was independently tested on RoboForex and EightCap — two brokers with fundamentally different data feeds, spread structures, symbol specifications, and execution environments. The edge persists on both.

Most retail EAs are validated on a single broker using in-sample data alone. Amaryllis is validated out-of-sample, across brokers, across regimes.


PERFORMANCE — ROBOFOREX | H1 TIMEFRAME

Broker: RoboForex-Pro (Hedge) | Raw Spreads
Symbol: .US30Cash | Digits: 1 | Contract Size: 1
Timeframe: H1 | Period: 2018.01.01 – 2026.01.01
Deposit: $10,000 | Leverage: 1:100 | Lot Size: 5.0
Note: Contract Size = 1 on RoboForex. 5.0 lots at CS1 = $5/point, equivalent to 0.5 lots at CS10.

Total Net Profit:                $13,091.50 (+130.9%)
Profit Factor:                   1.36
Sharpe Ratio:                    3.69
Recovery Factor:                 2.12
Total Trades:                    390
Win Rate:                        83.33% (325 of 390)
Win Rate Longs:                  83.05%
Win Rate Shorts:                 83.77%
Expected Payoff:                 $33.57 per trade
Average Win:                     $152.27
Average Loss:                    -$559.96
Max Consecutive Wins:            25 ($3,887.00)
Max Consecutive Losses:          3 (-$2,035.00)
Balance Drawdown Maximal:        29.74% ($5,607.00)
Equity Drawdown Maximal:         32.67% ($6,180.00)
LR Correlation:                  0.93
History Quality:                 99%
Ticks:                           285,058,569


PERFORMANCE — ROBOFOREX | M5 TIMEFRAME

Broker: RoboForex-Pro (Hedge) | Raw Spreads
Symbol: .US30Cash | Digits: 1 | Contract Size: 1
Timeframe: M5 | Period: 2018.01.01 – 2026.01.01
Deposit: $10,000 | Leverage: 1:100 | Lot Size: 5.0
Note: Contract Size = 1 on RoboForex. 5.0 lots at CS1 = $5/point, equivalent to 0.5 lots at CS10.

Total Net Profit:                $14,171.00 (+141.7%)
Profit Factor:                   1.24
Sharpe Ratio:                    4.71
Recovery Factor:                 3.37
Total Trades:                    531
Win Rate:                        69.87% (371 of 531)
Win Rate Longs:                  70.82%
Win Rate Shorts:                 68.58%
Expected Payoff:                 $26.69 per trade
Average Win:                     $195.89
Average Loss:                    -$365.64
Max Consecutive Wins:            17 ($3,450.00)
Max Consecutive Losses:          4 (-$3,012.50)
Balance Drawdown Maximal:        33.86% ($4,141.00)
Equity Drawdown Maximal:         34.23% ($4,199.50)
LR Correlation:                  0.94
History Quality:                 99%
Ticks:                           285,058,569


PERFORMANCE — EIGHTCAP | H1 IN-SAMPLE (2019.01.01 – 2023.01.01)

Broker: EightCap (Hedge) | Raw Spreads
Symbol: US30 | Digits: 2 | Contract Size: 10
Timeframe: H1 | Period: 2019.01.01 – 2023.01.01
Deposit: $10,000 | Leverage: 1:100 | Lot Size: 0.3

Total Net Profit:                $11,597.76 (+116.0%)
Profit Factor:                   1.38
Sharpe Ratio:                    2.49
Recovery Factor:                 1.91
Total Trades:                    240
Win Rate:                        82.92% (199 of 240)
Win Rate Longs:                  85.16% (128)
Win Rate Shorts:                 80.36% (112)
Expected Payoff:                 $48.32 per trade
Average Profit Trade:            $212.88
Average Loss Trade:              -$750.38
Max Consecutive Wins:            35 ($7,502.13)
Max Consecutive Losses:          2 (-$3,050.55)
Balance Drawdown Maximal:        36.56% ($5,803.95)
Equity Drawdown Maximal:         38.24% ($6,072.75)
LR Correlation:                  0.72
History Quality:                 100%
Ticks:                           111,318,870


PERFORMANCE — EIGHTCAP | H1 OUT-OF-SAMPLE (2023.01.01 – 2026.02.12)

Broker: EightCap (Hedge) | Raw Spreads
Symbol: US30 | Digits: 2 | Contract Size: 10
Timeframe: H1 | Period: 2023.01.01 – 2026.02.12
Deposit: $10,000 | Leverage: 1:100 | Lot Size: 0.3

Total Net Profit:                $8,793.38 (+87.9%)
Profit Factor:                   1.38
Sharpe Ratio:                    2.72
Recovery Factor:                 2.03
Total Trades:                    173
Win Rate:                        84.97% (147 of 173)
Win Rate Longs:                  85.44% (103)
Win Rate Shorts:                 84.29% (70)
Expected Payoff:                 $50.83 per trade
Average Profit Trade:            $218.88
Average Loss Trade:              -$899.29
Max Consecutive Wins:            19 ($4,390.39)
Max Consecutive Losses:          3 (-$2,277.98)
Balance Drawdown Maximal:        21.56% ($4,033.77)
Equity Drawdown Maximal:         23.04% ($4,331.07)
LR Correlation:                  0.81
History Quality:                 100%
Ticks:                           56,958,175

The out-of-sample Sharpe Ratio of 2.72 on three years of unseen data — with improved drawdown characteristics relative to in-sample — confirms the strategy captures genuine market structure rather than historical noise.


MULTI-BROKER ROBUSTNESS

                              RoboForex (H1)     EightCap In-Sample    EightCap OOS
Sharpe Ratio:                 3.69               2.49                  2.72
Profit Factor:                1.36               1.38                  1.38
Win Rate:                     83.33%             82.92%                84.97%
Recovery Factor:              2.12               1.91                  2.03
LR Correlation:               0.93               0.72                  0.81

Consistent profitability across two independent broker environments with different data feeds, spread structures, and symbol specifications. The core ADX momentum logic captures real market structure — not broker-specific data artifacts.


INSTITUTIONAL BENCHMARKING

Sharpe Ratio: The Barclay CTA Index averages 0.3–0.5 over rolling 5-year windows. Top-decile managed futures funds target 1.0–2.0. Amaryllis delivers 2.49–3.69 depending on broker and period, placing the strategy well above the institutional average for a single-instrument momentum system.

Profit Factor: Systematic CTA strategies typically operate within a 1.2–1.5 profit factor range. Amaryllis at 1.36–1.38 across all configurations confirms genuine edge generation without reliance on outsized winners.

Win Rate: Classical trend-following operates at 35–50% win rates. Amaryllis achieves 82–85% through ADX regime filtering — entering exclusively when trend strength is confirmed. This dramatically smooths the equity curve and reduces the psychological burden of live trading.

Recovery Factor: Values of 1.91–3.37 across all configurations indicate the strategy recovers from its worst drawdown multiple times over — a critical measure of long-term account survivability.


CORE FEATURES

ADX Momentum Engine — Entry on ADX threshold cross with DI+/DI- directional bias. Pure trend-strength momentum capture with no lagging crossover dependencies.

Session Control — Configurable trading window with hour and minute precision. Optional forced position closure outside session boundaries. Supports overnight session wrapping.

Daily Drawdown Circuit Breaker — Equity-based daily drawdown limiter with configurable threshold. Automatically halts new entries and closes positions when the daily loss limit is reached.

Risk-Based Position Sizing — Fixed lot or automatic percentage-of-balance sizing calculated from stop loss distance. Adapts to account growth.

DI Crossover Reversal — Optional position reversal on DI crossover during active ADX regime. Maintains market exposure when momentum shifts direction.

Daily Open Bias Filter — Optional directional confirmation requiring price above daily open for longs and below daily open for shorts.

Spread Filter — Maximum spread gate prevents entry during illiquid conditions. Deferred reverse orders queue until spread normalizes.

Auto Fill Mode Detection — Automatically detects and configures the correct order filling mode (FOK, IOC, or RETURN) for any broker environment.


INPUT PARAMETERS

Session: Start Hour, Start Minute, End Hour, End Minute, Close Positions Outside Session.

ADX: ADX Period, ADX Threshold, Exit on ADX Drop, Reverse on DI Crossover, Daily Open Bias Filter.

Risk: Fixed Lot Size (0 = use risk %), Risk per Trade (%), Stop Loss (points), Take Profit (points), Max Daily Drawdown (%), Max Spread (points), Reset DD With Position.

Identification: Magic Number for multi-instance deployment.


BROKER COMPATIBILITY — READ BEFORE LOADING SET FILES

Amaryllis runs on any MT5 broker offering US30 or equivalent index CFDs. However, brokers differ in how they quote prices and size contracts. These differences affect Stop Loss and Take Profit placement. The trading logic itself is universal — only the calibration changes.

Before loading a set file, right-click your symbol in Market Watch, select Specification, and check three values: Digits, Contract Size, and Tick Size.

Reference specifications:

    RoboForex (.US30Cash):   Digits: 1  |  Contract Size: 1   |  Tick Size: 0.0
    EightCap (US30):         Digits: 2  |  Contract Size: 10  |  Tick Size: 0.00

Adjusting Stop Loss and Take Profit:

SL and TP values in the set files are denominated in MT5 points. The value of one point depends on your broker's Digits setting.

    Digits = 1    →  1 point = 0.1 price movement
    Digits = 2    →  1 point = 0.01 price movement

If your broker has more decimal places than the set file origin, add one zero to the end of the SL and TP values. If fewer, remove one zero.

    RoboForex set file (1 digit):     SL = 4800     TP = 700
    Your broker (2 digits):           SL = 48000    TP = 7000

All other parameters — ADX settings, session hours, filters — remain unchanged.


IF YOUR BACKTEST RESULTS DIFFER FROM THE PUBLISHED RESULTS

Both RoboForex and EightCap are fully regulated brokers, but they source price data from different liquidity providers. Different data feeds produce different candle formations, which means indicator signals can fire at slightly different moments. The core logic is identical — the calibration adapts to the data.

If your broker's backtest results do not match the published performance, verify the following in your symbol Specification:

    1.  Digits — must match the set file or be adjusted as described above
    2.  Contract Size — affects lot sizing and dollar exposure per point
    3.  Tick Size — must correspond to the Digits setting
    4.  History Quality — run backtests on real ticks with 99–100% quality
    5.  Modelling — use "Every tick based on real ticks" for accurate results

If all specifications are correct and performance still diverges significantly, your broker's data feed requires a dedicated calibration. The strategy logic works — only the SL, TP, and session parameters need adjustment for your specific data.

Leave me a comment or send a private message with your broker name and symbol specification. I will calibrate the set file for your data feed at no additional cost.

Alternatively, you can use one of the two validated brokers above — both are fully regulated and confirmed working with the provided set files.


FTMO AND PROP FIRM USERS

The RoboForex set files have been tested on FTMO data feeds. The FTMO symbol specification for US30 closely matches RoboForex. The only adjustments required are:

    1.  Tick Size and Digits — verify in Specification and adjust SL/TP accordingly
    2.  Max Daily Drawdown — set to match your prop firm's drawdown rules
    3.  Lot Size — adjust for your firm's Contract Size and account equity

The RoboForex set files are the recommended starting point for FTMO users.

EightCap set files have not been tested on FTMO yet. If you are an FTMO user on an EightCap-style data feed, contact me for guidance.

Always validate on a demo or practice account before deploying on a funded challenge or live funded account.


EIGHTCAP SET FILES

EightCap optimized set files are coming soon. Until then, EightCap users can:

    1.  Load the RoboForex set file
    2.  Multiply SL and TP by 10 (adjusting from 1 digit to 2 digits)
    3.  Divide lot size by 10 (adjusting from Contract Size 1 to 10)
    4.  Validate on demo before live deployment

Or contact me directly — I will provide the calibrated EightCap parameters.


WHAT YOU RECEIVE

    Compiled Amaryllis v2.04 Expert Advisor (.ex5)
    Optimized set files for RoboForex (H1, M5)
    EightCap set files (coming soon)
    Broker configuration guide
    Direct support via MQL5 private messages


BACKTEST CONDITIONS

    Broker:      RoboForex-Pro (Hedge) | EightCap (Hedge)
    Modelling:   Every tick based on real ticks
    Delays:      Zero latency, ideal execution
    Deposit:     $10,000 USD
    Leverage:    1:100
    History:     99–100%


IMPORTANT DISCLAIMERS

Past performance is not indicative of future results. All backtests were conducted under ideal execution conditions with zero latency and zero slippage. Live trading introduces additional variables including slippage, requotes, spread widening during news events, and broker execution delays. Drawdown figures are a function of position sizing — adjust lot size relative to account equity for appropriate risk exposure. This Expert Advisor is a professional tool for informed traders. It is not a guaranteed profit system. Always validate on a demo account before committing capital.


Amaryllis v2.04 — One Indicator. Every Regime. Proven.
Designed and Developed by Rafael Vasili
Copyright 2025–2026
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Juvenille Emperor Limited
5 (7)
Matrix Arrow EA MT5 , Matrix Arrow Göstergesinin MT5 sinyallerini grafikteki bir ticaret paneli ile manuel olarak veya %100 otomatik olarak takas edebilen benzersiz bir uzman danışmandır.  Matrix Arrow Indicator MT5 , mevcut eğilimi erken aşamalarında belirleyecek ve aşağıdakiler gibi 10'a kadar standart göstergeden bilgi ve veri toplayacaktır: Ortalama Yönlü Hareket Endeksi (ADX), Emtia Kanal Endeksi (CCI), Klasik Heiken Ashi mumları, Hareketli ortalama, Hareketli Ortalama Yakınsama Iraksaklığ
Sonic R Pro Enhanced EA - Sürüm 2025 249$ - Sadece ilk 5 alıcıya özel! Canlı Sinyal Sonic R Pro Enhanced'in canlı performansını kontrol et: Ticaret Stratejisi Sonic R Pro Enhanced, Dragon Band (EMA 34 ve EMA 89) ile otomatik ticaret yapan Sonic R stratejisinin geliştirilmiş bir versiyonudur. Gelişmiş algoritmalarla maksimum performans sağlar. Zaman Dilimleri: M15, M30 Desteklenen Pariteler: XAUUSD, BTCUSD, AUDJPY, USDJPY Ticaret Tarzı: Swing Trading - Geri Çekilme ve Karşı Trend Minimu
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Van Cuong Nguyen
5 (1)
TOOP1 Swing is a fully automated Expert Advisor specifically engineered for trading Gold (XAUUSD) on the M5 timeframe. Built upon a short-term swing trend-following strategy, this Expert Advisor operates with a strict risk management philosophy: a complete rejection of Martingale and Grid strategies. Every single market execution consists of only one trade with explicit, predefined Take Profit (TP) and Stop Loss (SL) levels set immediately at order initiation. Live signal  (Use fixed SL,TP) . Do
GU Liquidity Sniper
Wootthipong Chaiyaphum
Apex Reversal — M1 Precision Reversal Scalper Apex Reversal is a precision intraday scalper that trades reversals at Double Top and Double Bottom turning points on the 1-minute chart. Instead of chasing momentum, it waits for price to fail twice at the same level, confirms the rejection candle, and enters with a tight, structure-based stop and a fixed 2:1 reward target. Every trade is filtered by an event-based BOS / CHoCH market-structure engine on a higher timeframe, so the robot only takes re
Nikkei225 Gap ContinuationEA
Francesc Jordi Mallol Nolden
Nikkei 225 Gap Continuation EA Automated opening-gap continuation strategy for the Nikkei 225 Nikkei 225 Gap Continuation EA is an automated trading system for MetaTrader 5 designed specifically for the Japanese stock index. It searches for significant opening gaps and enters only when price action confirms a possible continuation in the same direction. The strategy combines the opening gap, a configurable opening range and session VWAP confirmation. It also includes risk-based position sizing,
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Pip Titan Cable Maverick Pro 2.0 is a cutting-edge expert advisor (EA) designed specifically for GBP/USD traders operating on the H1 timeframe. This EA leverages sophisticated algorithms and a robust set of protections to deliver consistent, efficient, and secure trading experiences. Suitable for both seasoned traders and newcomers, Cable Maverick Pro 2.0 empowers users to achieve their trading objectives with precision and confidence. Key Features : Optimized for GBP/USD : Fine-tuned to identi
RetraceX Scalper MT5
Mazhar Ul Hassan Noorul Hassan Noor Ul Hassan
Overview RetraceX Scalper is an advanced pullback scalping bot that utilizes Support & Resistance levels to identify high-probability retracement entries. It ensures precise trade execution with minimal risk and maximum reward, making it an ideal tool for traders who focus on quick pullback opportunities. Key Features Support & Resistance Detection: Identifies strong market zones for accurate trade setups. Pullback Entry Optimization: Scans for high-probability retracement entries to maximize
Bu ürünün alıcıları ayrıca şunları da satın alıyor
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5 (41)
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4.07 (58)
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James Vito Armin Bianchini
4.93 (15)
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Profalgo Limited
4.48 (105)
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5 (6)
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4.39 (138)
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Bogdan Ion Puscasu
4.96 (216)
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Vladimir Mametov
5 (3)
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Vladimir Lekhovitser
3.47 (32)
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Stanislav Tomilov
5 (2)
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Gennady Sergienko
1.53 (17)
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Jimmy Peter Eriksson
4.57 (23)
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Marco Scherer
4.34 (59)
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Atherion Zenith AI EA
Valentina Zhuchkova
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Silent Exit MT5
Fajar Dicky Firmansyah
5 (5)
Hile yok. Boş vaatler yok. Silent Exit, tek bir hedefe odaklanan yatırımcılar için tasarlanmıştır: istikrarlı performans .  Tüm Major pariteler dahildir:  EURUSD,USDCAD,USDJPY,NZDUSD,USDCHF,AUDUSD,GBPUSD İster bir prop trading challenge sürecini tamamlıyor olun, ister müşteri fonlarını yönetiyor olun, bu EA disiplinli işlem yapmanızı sağlar — ve sonuç üretir. SIGNAL Linki: https://www.mql5.com/en/signals/2388541 Bunun 100k Darwinex Zero hesabı olduğunu ve hesabıma 100k yatırmadığımı unutmayın.
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Ayush V Jain
5 (4)
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Chen Jia Qi
4.52 (21)
Gold Snap — A Fast Profit Capture System for Gold Live Signal: https://www.mql5.com/en/signals/2362714 Live Signal2: https://www.mql5.com/en/signals/2372603 Live Signal v2.0: https://www.mql5.com/en/signals/2379945 Only 3 copies remaining at the current price. The price will be increased to $1199 soon. Important: After purchasing, please contact us by private message to receive the user guide, recommended settings, usage notes, and update support.  https://www.mql5.com/en/users/walter2008
Wave Rider EA MT5
Adam Hrncir
4.82 (44)
Scalper speed with sniper entries. Built for Gold. Summer sale - 399 USD only instead of 499 USD until end of August. Tired of all the fake EAs that eventually disappear? Most authors just create another EA when it fails - I wanted to do it differently. Wave Rider is my personal project built out of passion - honest, transparent EA without any fake AI or manipulated back-test that's been continuously updated for more than 6 months, that I am using myself from very first day. Check the Live signa
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Andrii Soma
5 (10)
SomaGold, MetaTrader 5 için yalnızca altın (XAUUSD) üzerinde çalışan çok stratejili bir breakout Uzman Danışmanıdır. Tek grafik, tek EA, birlikte tek çeşitlendirilmiş portföy gibi çalışan 32 bağımsız strateji. Canlı Sinyal. Bu, MQL5'te yayınladığım ilk EA'dır. Lansmanda erişilebilir olması için şeffaf bir kademeli fiyat modeli kullanıyorum: Lansman fiyatı: 100 USD Her 10 satılan kopya için fiyat 100 USD artar Erken alıcılar, ürünün ömrü boyunca en düşük fiyatı sabitler. Kavram Dar bir piyasa rej
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William Brandon Autry
5 (20)
BYRDI - Tek Bir Bütün Gibi İşlem Yapan Yapay Zekâ Ağı Çoğu Expert Advisor tek bir terminali görür. BYRDI tüm ağı görür. Bir hesapta açılan bir işlem, sahip olduğunuz diğer tüm hesapların riskini değiştirebilir. BYRDI, ayrı MetaTrader 5 terminallerini tek bir koordineli mesh içinde birleştirir. Her düğüm kendi hesabını, brokerini, piyasalarını, yapay zekâ modelini, stratejisini ve risk ayarlarını koruyabilirken, sistemin bütününden de haberdar kalır. BYRDI fırsatları dağıtabilir, riski kontrol e
Quantum Bitcoin EA
Bogdan Ion Puscasu
4.78 (129)
Quantum Bitcoin EA   : İmkansız diye bir şey yoktur, önemli olan onu nasıl başaracağınızı bulmaktır! En iyi MQL5 satıcılarından birinin en son şaheseri   olan Quantum Bitcoin EA   ile   Bitcoin   ticaretinin geleceğine adım atın. Performans, kesinlik ve istikrar talep eden yatırımcılar için tasarlanan Quantum Bitcoin, kripto para biriminin değişken dünyasında mümkün olanı yeniden tanımlıyor. ÖNEMLİ!   Satın alma işleminden sonra lütfen kurulum kılavuzunu ve kurulum talimatlarını almak için ba
Gold Neural Core
TICK STACK LTD
4.2 (10)
Launch Offer:   Grab Gold Naural Core and bundle it with   XAU Momentum   and get 2 free EAs of your choice from my entire MQL5 store. DM me for details. Learn how I personally manage risk when using grid systems:  https://www.mql5.com/en/blogs/post/767250 Read the user guide to any TickStack grid system:  https://www.mql5.com/en/blogs/post/767232 Gold Neural Core — Hyper-Scalping Grid System for XAUUSD Gold Neural Core is a high-frequency grid trading system engineered specifically for gold (X
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DAILY OH/OL SDEV QUANT MODEL - STATISTICAL TRADING WITH PRECISION RISK MANAGEMENT TRADE WITH MATHEMATICAL CERTAINTY - KNOW YOUR EXACT STOP-LOSS AND TAKE-PROFIT BEFORE YOU ENTER This indicator analyzes 5,000+ days of price history to give you: Exact entry levels (sigma bands locked at daily open) Exact stop-loss distance (from M
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Anduelismailaj13
19
Anduelismailaj13 2026.02.19 22:57 
 

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Tzitzikas Giwrgos
23
Tzitzikas Giwrgos 2026.02.19 20:22 
 

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Rafael Vasili
220
Geliştiriciden yanıt Rafael Vasili 2026.02.19 20:32
Yeah crazy trades
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