Diversified Multi Strategy Portfolio EA

📊 Diversified Multi Strategy Portfolio EA – Quant Multi-Strategy Portfolio System


Is an institutional-grade, fully automated quantitative trading system designed for consistent, long-term capital appreciation.

Instead of relying on a single market condition or a single financial instrument, this Expert Advisor simultaneously deploys three distinct, uncorrelated algorithmic models across Forex, Gold, and US Equity Indices—all executed directly from one single chart.

By running multiple uncorrelated strategies in parallel, the portfolio achieves a smoother equity curve, mitigates drawdown clusters, and builds sustainable compound growth.


🔴 Real Account Live Performance

Don't rely on backtests alone—track the real money performance on MQL5:


🔍 How the System Works (Conceptual Overview)

The EA combines three proven quantitative methodologies tailored to specific asset dynamics:

  1. Intraday Session Breakout Model:
    • Assets: GBPUSD, USDJPY, XAUUSD (Gold), EURJPY
    • Concept: Identifies critical pre-session consolidation ranges and capitalizes on high-probability momentum expansions during major liquidity shifts.
  2. Index Momentum & Tracking Model:
    • Assets: US30 (Dow Jones), USTEC (Nasdaq 100)
    • Concept: Captures powerful directional rallies and structural trend flows during peak institutional trading hours.
  3. Weekly Seasonality & Reversal Model:
    • Assets: USTEC (Nasdaq 100)
    • Concept: Exploits recurring, statistically backed institutional flows and mean-reversion tendencies around specific trading days.

Every trade entered by this system is backed by extensive historical validation and a clear statistical edge.


📈 Historical Multi-Asset Backtest (2013 – 2026)

Tested over 13 continuous years with 100% Real Tick Quality across all 6 instruments simultaneously:

Metric Backtest Result
Testing Period 2013.06.05 – 2026.08.15 (~13 Years)
Data Quality 100% Real Ticks (650M+ ticks across 6 symbols)
Initial Deposit €600.00
Total Net Profit €28,595,187.95 (Compounded)
Profit Factor 1.14
Recovery Factor 11.98
Sharpe Ratio 1.84
Maximal Equity Drawdown 26.06%
Total Trades Executed 19,350+ trades (~50% win rate / positive payoff ratio)


🛡️ Institutional Risk Management (Zero Toxic Methods)

Capital preservation is the cornerstone of this system:

  • ❌ NO Martingale: Position sizes are never increased after a loss.
  • ❌ NO Grid Trading: Positions are not averaged down into adverse moves.
  • ❌ NO Hedging / Locking: Trades are completely independent.
  • ✔️ Hard Stop Loss & Take Profit: Every single order has predefined risk limits sent directly with the trade.
  • ✔️ Dynamic Volume Sizing: Automatically calculates lot sizes according to account balance and risk tolerance.


⚡ Key Technological Advantages

  • One-Chart Multi-Symbol Trading: Attach the EA to a single chart (e.g., EURUSD or GBPUSD M1). The EA monitors, analyzes, and executes all strategies across Forex, Gold, and Indices in the background.
  • Smart Auto GMT & DST Detection: Automatically detects your broker’s server time and Daylight Saving Time (US DST, European DST, or UTC/GMT+0). No manual timezone conversions required.
  • Auto Symbol Resolver: Automatically handles broker prefixes and suffixes (e.g.,  GBPUSD.r ,  XAUUSDm ,  US30.cash ,  NAS100 ).
  • MQL5 Market Standards Compliant (Article 2555): Built with strict pre-trade margin calculations, freeze level validations, and order limit controls to ensure flawless operation.


⚙️ Recommendations & Setup

  • Minimum Deposit:
    • Recommended: $1,000 – $3,000 USD/EUR for optimal lot sizing and risk diversification.
    • Starting: Can be tested from $500 with conservative risk settings (0.5% – 1.0%).
  • Account Type: RAW Spread / ECN with low commissions.
  • Leverage: 1:100 or higher (1:30 accounts can run fewer concurrent symbols or reduced risk).
  • Execution: A low-latency VPS (<20 ms) is recommended for uninterrupted 24/5 uptime.


🚀 Quick Start Guide

  1. Open MetaTrader 5 and ensure all traded symbols are visible in the Market Watch ( GBPUSD ,  USDJPY ,  XAUUSD ,  EURJPY ,  US30 ,  USTEC ).
  2. Open a single chart (e.g.,  GBPUSD  on any timeframe like  M1 ).
  3. Attach Portfolio EA Multi to this chart.
  4. Enable "Allow Algo Trading" in MT5 and in the EA settings.
  5. Set your preferred risk percentage (Default: 1.0%, means 1% per each trade aprox.), click OK, and the system handles the rest!


🔧 Main Input Parameters

  • Base amount : Base balance for lot sizing (set to  0  to automatically use current account balance).
  • Risk Percentage : Risk per trade as a percentage of balance/equity (default:  1.0%, means 1% per each trade aprox. ).
  • Trading Days : Toggle trading permissions for individual days of the week.
  • Broker GMT Mode :  Auto-Detect  (recommended), or select specific broker offsets manually.
  • Enable/Disable strategies : Toggles to independently activate or deactivate any of the 8 individual strategy sub-modules.
  • Symbol Names : Override symbol names if your broker uses non-standard tickers (e.g.,  NAS100  instead of  USTEC ).
  • Magic Numbers : Unique identifiers for each strategy module to avoid conflicts.


⚠️ Risk Warning

Forex, indices, and CFD trading involve substantial risk of loss. Past performance, whether simulated or live, does not guarantee future results. Always trade with risk capital you can afford to lose and test on a demo account before trading with real funds.


Filtrele:
Değerlendirme yok
Değerlendirmeye yanıt