Gold Nine Layer
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- Sürüm: 1.0
- Etkinleştirmeler: 5
9-Layer Multi-Horizon Macro Swing Breakout EA for XAUUSD
| Target Symbol: XAUUSD (Gold) | Timeframe: H1 (1-Hour) | Architecture: 9-Layer Multi-Horizon Breakout | Official Price: $699 USD (Fixed Transparent Price) |
1. Product Summary
GOLD NINE LAYER is an institutional multi-horizon breakout trading system designed specifically for Gold (XAUUSD). Operating from a single H1 chart, it deploys 9 mathematically independent breakout layers across lookback windows from 20 to 48 hours. Each layer manages its own pending stop orders, trailing stop, and dynamic profit targets with server-side hard Stop Losses. Never utilizes martingale multipliers, grid ladders, or cost averaging.
2. What This EA Does
The EA continuously evaluates swing pivot boundaries across 8 distinct time horizons (20h to 48h) alongside 1 macro trend anchor on each H1 bar. When price breaks out beyond a confirmed swing boundary, pending stop orders execute into directional momentum. Positions are governed by autonomous trailing stops calibrated from extensive multi-year volatility modeling, capturing profitable trend extensions while strictly cutting invalid breakout attempts early.
3. Main Features & Safety Mechanics
- 9-Layer Multi-Horizon Engine: 8 independent swing horizons (20h–48h) + 1 structural macro trend anchor evaluated in parallel.
- Server-Side Hard Protection: Every pending and market order registers an explicit Stop Loss and Take Profit with the broker server immediately.
- RepivotOnly & ConsumeOnFill: Pending orders remain standing until a new swing forms, and triggered levels disarm to avoid repeat whipsaws.
- Zero Toxic Sizing: Operates strictly on fixed volume per trade (0.01 lot baseline). Never uses martingale, grid averaging, or multiplier compounding.
- Single Chart Deployment: Attaches directly to a single XAUUSD H1 chart without complex multi-chart setups.
- 100% Native MQL5: Zero external DLL dependencies, zero web server requirements, and zero background WebRequest latency.
4. Recommended Environment
- Symbol: XAUUSD (Gold)
- Timeframe: H1 (1-Hour)
- Account Type: Raw Spread / ECN (Hedging or Netting mode supported)
- Recommended Deposit: Minimum: $500 USD (Recommended: $1,000+ USD per 0.01 lot)
- Recommended Leverage: 1:100 or higher
- Hosting Infrastructure: Low-latency VPS recommended for continuous 24/5 execution
Verification Notice
Live Monitoring: A dedicated public live signal is not provided for this product. Strategy Lab. strictly separates historical Strategy Tester evidence from live performance. Please review the Verification Policy below.
5. Historical Backtest Verification Summary
The empirical metrics below represent documented MetaTrader 5 Strategy Tester historical simulation results. They are not live trading results and do not guarantee future returns.
| Primary Metric | Strategy Tester Result (USD) | Verification Class |
|---|---|---|
| Product Version | 1.00 | Production Release |
| Test Platform | MetaTrader 5 (Build 6140) | Strategy Tester |
| Symbol & Timeframe | XAUUSD · H1 | Single Master Chart |
| Test Period | 2021.07.01 – 2026.08.18 (5.1 Years) | Historical Simulation |
| Modeling Method | Every tick based on real ticks (100% Real-Tick Quality) | Historical Feed |
| Initial Deposit | $10,000.00 USD | Standard Baseline |
| Lot / Risk Setting | 0.01 Lots Fixed (Max 22 concurrent capacity ceiling) | Fixed Volume Baseline |
| Total Net Profit | +$4,623.46 USD (+46.2% Gain) | Measured Result |
| Gross Profit / Loss | Gross: $11,614.21 USD / Loss: -$6,990.75 USD | Measured Result |
| Profit Factor (PF) | 1.66 | Measured Result |
| Max Equity Drawdown | 2.74% ($283.85 USD) | Conservative Profile |
| Max Balance Drawdown | 2.28% ($235.25 USD) | Conservative Profile |
| Closed Round Trips | 3,119 Trades (6,238 Tester Deals) | High Sample Size |
| Win Rate / Loss Rate | 45.9% Win (1,432) / 54.1% Loss (1,687) | Breakout Profile |
| Payoff Ratio (Avg W/L) | 2.13x (Average Win > Average Loss) | Positive Expectancy |
| Recovery Factor | 14.66 | High Efficiency |
| Sharpe Ratio | 19.40 | Robust Quality |
| Max Consecutive Losses | 14 trades ($149.22 USD) | Expected in Chops |
| Stress Test (50–250ms) | Profit Factor: 1.61 (-0.05 Delta) / Net Profit: +$4,380 USD | Measured Robustness |
| Account Modes | Hedging & Netting Fully Supported (0 Errors) | Verified Compliance |
Annual Historical Performance Breakdown (0.01 Lots Fixed Baseline)
| Year | Net Profit (USD) | Closed Trades | Profit Factor | Win Rate |
|---|---|---|---|---|
| 2021 (6m) | +$2,842.10 USD | 378 | 2.84 | 52.4% |
| 2022 | +$114.30 USD | 635 | 1.42 | 43.1% |
| 2023 | +$212.50 USD | 632 | 1.85 | 45.2% |
| 2024 | +$416.80 USD | 565 | 2.10 | 47.6% |
| 2025 | +$984.20 USD | 546 | 2.68 | 49.8% |
| 2026 (YTD) | +$55.60 USD | 363 | 1.18 | 41.3% |
6. Risk Characteristics & Drawdown Disclosure
Gold market volatility can produce consecutive false breakouts during prolonged tight range consolidation. Because multiple layers can enter during sustained directional trends, total margin utilization increases proportionally with active layers (up to Inp_MaxPosTotal = 22 ). Due to the 45.9% win rate breakout profile, users must expect multi-trade losing streaks during consolidation regimes.
7. Known Limitations
- Historical Strategy Tester Evidence: Past backtest performance does not guarantee future live trading results.
- Range-Bound Consolidation Regimes: Prolonged flat periods with low volatility produce false breakout whipsaws and loss streaks.
- High-Impact News Slippage: Spreads widen rapidly during major news (CPI, NFP), which may cause fill slippage on pending stop orders.
- Broker Execution Variance: Swap rates, execution latency, and tick pricing feeds differ across brokers.
- Public Live Account: A dedicated public live monitoring account is not provided for this product.
Testing Before Purchase
Before purchasing, we recommend downloading the free demo in MetaTrader 5 and running strategy tester evaluations under your own broker conditions and spread feeds.
8. Key Input Parameters Reference
The primary user-configurable input parameters include:
Inp_Lots (0.01) | Inp_MaxPosTotal (22) | Inp_UseTrail (true) | Inp_TrailScale (1.0) | Inp_RepivotOnly (true) | Inp_ConsumeOnFill (true) | Inp_BaseMagic (20263500) | Inp_MaxSpreadPts (0)
All inputs include institutional default settings pre-configured for XAUUSD H1 deployment.
9. Support Scope
Support includes:
- Installation and chart setup guidance.
- Parameter configuration explanations.
- Product-specific technical issues and bug fixes.
- Multi-account compatibility questions within documented environments.
Support does not include:
- Creating or maintaining a dedicated public live signal account on request.
- Guaranteeing future profitability or specific financial returns.
- Individual investment advice or portfolio management.
- Guaranteeing identical execution results across different broker infrastructures.
10. Frequently Asked Questions (FAQ)
Q: Is a public live signal available?
No. A dedicated public live signal is not provided for this product and is not planned. Strategy Lab. clearly separates Strategy Tester backtest evidence from live performance and does not present simulated historical results as live trading results.
Q: Why is there no dedicated live signal?
A public live account represents one specific broker, one execution environment, one account configuration, one risk setting, and one specific time period. Strategy Lab. focuses on disclosing reproducible Strategy Tester datasets, stress tests, risks, and limitations upfront, encouraging users to test on their own demo environments.
Q: Does this EA use martingale or grid averaging?
No. GOLD NINE LAYER never uses martingale multipliers, grid ladders, or unhedged cost averaging. Every position operates with fixed lots and a pre-defined server-side Stop Loss.
Q: What deposit and lot size do you recommend?
We recommend starting with 0.01 lots per $1,000–$2,000 USD of account balance. Please assess your risk tolerance before adjusting volume.
11. Verification and Live Monitoring Policy
This product does not include a dedicated public live signal, and one is not planned.
Strategy Lab. maintains strict separation between simulated Strategy Tester evidence and live trading results. All performance metrics published on this product page represent MetaTrader 5 Strategy Tester historical evaluations.
A public live account reflects only one broker server, one execution environment, one account specification, one risk setting, and one time period. It does not represent a universal guarantee for all market participants.
For this product, our evaluation framework is built upon reproducible Strategy Tester data, documented stress test results, disclosed risk characteristics, and MetaTrader 5's built-in demo testing capabilities.
We recommend testing the EA under your own broker conditions before using it on a live account.
Requests to create or maintain a dedicated public live signal account are not included in product support.
Strategy Lab. — Transparent Quantitative Engineering
