Zeus Si Cepat
- Uzmanlar
- Sürüm: 1.1
- Etkinleştirmeler: 10
About the Strategy
Zeus Si Cepat is a scalping-style Expert Advisor that reads short-term price movement using a combination of band-based technical indicators (price channels) on the M5 timeframe. The EA includes a grid-style averaging mechanism, which can add same-direction positions at a set distance if price moves against the initial entry, along with an automatic trailing stop to lock in running profit. Entry and exit logic run fully automatically once the EA is attached to the chart.The EA is recommended for the GBPUSD pair on the M5 timeframe, though it can also be run on other pairs if needed.
Adjustable Settings
One of the strengths of Zeus Si Cepat is how flexible its signal parameters are. Two key inputs, EnvDeviation and BBDeviation, control the width of the indicator bands that generate entry signals. A smaller deviation value narrows the bands, so entry signals appear more often (a more active trading style). A larger deviation value widens the bands, so entry signals appear less often but tend to be more selective (a more measured trading style).By combining these two settings, you can shape the EA's behavior into one of four general styles to match your own risk tolerance:
| Risk Profile | Characteristics |
|---|---|
| Conservative | Wider bands, less frequent entries, more selective signals |
| Moderate | A balance between entry frequency and signal selectivity |
| Aggressive | Narrower bands, more frequent entries (the configuration used in the test results below) |
| Very Aggressive | Narrowest bands, most frequent entries, results can fluctuate more widely |
The exact EnvDeviation and BBDeviation values for each profile can vary depending on market conditions and the pair used, so you are encouraged to run your own tests in the Strategy Tester to find the combination that suits your preference before using it on a live account.
Key Features
- Adjustable Take Profit, Stop Loss, and Trailing Stop
- Optional dynamic Stop Loss based on the ATR indicator
- Automatic lot sizing based on account risk percentage, or a fixed lot size
- Configurable maximum number of same-direction (grid) orders
- Maximum spread filter to avoid execution during widened spread conditions
- Automatic filter that removes pending orders ahead of the Friday market close
- On-chart display of account information and EA status
- A dedicated magic number, so it can run alongside other EAs or manual positions on the same account
Strategy Tester Results Summary
The EA was tested in the MetaTrader 4 Strategy Tester using historical data with the Every Tick execution model, a starting deposit of 1,000 USD, a fixed 2-pip spread, and the Aggressive parameter profile. Summary of the results:
| Statistic | 1 Week (Mar 19-26, 2026) | 1 Year (Jul 2025 - Jul 2026) |
|---|---|---|
| Pair / Timeframe | GBPUSD, M5 | GBPUSD, M5 |
| Modelling Quality | 90% | 90% |
| Total Net Profit | 220.38 USD | 894.84 USD |
| Profit Factor | 2.99 | 1.20 |
| Total Trades | 26 | 426 |
| Profit Trade Percentage | 80.77% | 67.37% |
| Maximal Drawdown | 58.42 USD (4.88%) | 488.14 USD (22.44%) |
| Average Profit Trade | 15.78 USD | 18.38 USD |
| Average Loss Trade | -22.20 USD | -31.52 USD |
Balance curve charts for both tests are available in the Screenshots section of this product. The figures above come from a single simulation run on historical data in the Strategy Tester using the Aggressive profile. They are not real trading account results and do not guarantee that the same outcome will happen again in future market conditions. Note that the Aggressive profile carries a larger potential drawdown than the Conservative or Moderate profiles, in line with its higher entry frequency. You are encouraged to download the EA and run your own tests in the Strategy Tester to verify the results and try other risk profiles before using it on a live account.
Recommended Usage
It is recommended to test this EA on a demo account first to understand its behavior before using it live, and to adjust the Envelope, Bollinger Band, Take Profit, Stop Loss, and lot size settings to match your own account conditions and risk tolerance.
