UaX
- Uzmanlar
- Ewa Joanna Jagiello Stepien
- Sürüm: 1.0
- Etkinleştirmeler: 15
UAX is a next-generation automated trading system engineered exclusively for the Gold market (XAUUSD). The name UAX, a mirror reflection of the gold symbol, represents the system's unique approach to analyzing price action, liquidity, and volatility through an inverted lens of traditional market metrics.
At its heart lies the proprietary DMS-Matrix (Dynamic Multi-Scalar Matrix). This engine processes four critical dimensions of price dynamics in real-time, allowing the algorithm to adapt to the specific "breathing" patterns of Gold.
SYSTEM REQUIREMENTS
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Instrument: XAUUSD (Gold)
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Platform: MetaTrader 5
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Recommended Timeframe: H1
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Recommended Minimum Balance: 500 USD
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Minimum Leverage: 1:30 or higher
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Recommended Account Type: ECN / RAW spread / low-spread brokers
CORE SIGNAL LOGIC: THE DMS-MATRIX
The UAX decision-making process is governed by the Core Signal architecture. It utilizes four dynamic pillars, each controlled by independent Sensitivity and Scale parameters. This dual-layer filtering ensures the system distinguishes between high-probability setups and market noise.
1. Dynamic Momentum Analysis (DynMom)
This module analyzes the relative strength of price velocity.
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Sensitivity ( InpDynMomSens ): Detects early-stage momentum shifts before they are visible to standard indicators.
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Scale ( InpDynMomScale ): Defines the weight of momentum in the final signal ranking.
2. Structural Fan Dispersion (DynFan)
UAX monitors the "structural spread" of the market across multiple calculation layers.
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Sensitivity ( InpDynFanSens ): Tracks the degree of divergence between medium-term trend vectors.
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Scale ( InpDynFanScale ): Adjusts the threshold for trend health, ensuring the system only engages during clear structural alignment.
3. Inter-Set Cross Correlation (DynCrs)
A dedicated confluence layer that validates signal quality through cross-verification.
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Sensitivity ( InpDynCrsSens ): Manages the detection of intersecting data points from different mathematical models.
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Scale ( InpDynCrsScale ): Requires a specific level of "agreement" between sets before a signal is authorized.
4. Vector Acceleration Engine (DynAcc)
Gold is known for its explosive moves. This module measures the "acceleration of acceleration."
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Sensitivity ( InpDynAccSens ): Reacts to sudden spikes in price speed, often seen during news events or liquidity gaps.
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Scale ( InpDynAccScale ): Determines if a volatility spike is a valid entry opportunity or a high-risk event to be avoided.
ASYMMETRIC RISK MANAGEMENT (Fixed SL/TP)
Unlike many EAs that rely on dangerous recovery methods, UAX operates with a disciplined, math-based exit strategy designed to protect capital while maximizing growth.
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Fixed Targets: Every trade is protected by a hard Stop Loss (SL) and a Take Profit (TP) set at the moment of execution.
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Positive Risk-to-Reward (RR): The Take Profit is significantly larger than the Stop Loss, single winning trade can cover multiple small losses.
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Mathematical Edge: By maintaining a high RR profile, UAX does not require an impossibly high win rate to remain profitable, making it much more robust during volatile market cycles.
POSITION SIZING
Two distinct modes are available:
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Balance Progression: Automatically scales lot sizes based on account equity. You define a balance step (e.g., 500 USD), and the system adjusts the volume proportionally as your account grows.
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Fixed Lot: Allows for constant, manual lot sizing (e.g., 0.01, 0.10) for traders who want absolute control over their exposure.
NO HIGH-RISK METHODS
UAX is built on pure signal mathematics and directional conviction.
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NO Martingale
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NO Grid Trading
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NO Loss Averaging
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NO Position Stacking Every trade is an independent event with its own predefined risk boundaries.
READY TO RUN
UAX comes pre-configured with optimized Core Signal settings for the H1 timeframe. Simply attach the EA to a XAUUSD chart, and the algorithm handles everything—from acceleration analysis to final execution with professional RR management.
IMPORTANT NOTICE: Trading involves risk. Past performance does not guarantee future results. Results may vary depending on broker conditions, spreads, slippage, and market volatility.
