HBS Gold Accelerator
- Uzmanlar
- Sürüm: 1.7
- Etkinleştirmeler: 5
Unlike toxic commercial EAs that rely on dangerous grid, martingale, or unmanaged averaging setups, HBS Gold Accelerator enforces strict institutional capital preservation. Every single position is fully bound by adaptive Average True Range (ATR) stops and hardcoded targets executed at the millisecond of entry.
- Weekend Filter OFF ( Auto close/filter di akhir sesi Jumat = false ) — Dynamic Growth Mode
- Best Used For: Personal Live Accounts and progressive evaluation models that fully permit weekend holding across all trading phases.
- The Advantage: Unlocks the full mathematical potential of the algorithm, letting it ride volatile market extensions into the new week, yielding up to +73.6% Net Profit .
- Weekend Filter ON ( Auto close/filter di akhir sesi Jumat = true ) — Strict Compliance Mode
- Best Used For: Funded accounts or strict evaluation rules that explicitly prohibit holding trades over the weekend or apply forced auto-closures.
- The Advantage: The EA gracefully and automatically flushes out all active positions exactly 95 minutes before the Friday market closes. This completely prevents catastrophic weekend price gaps, slippage, and sudden automated rule breaches while compressing the Maximal Equity Drawdown down to a hyper-safe 7.52% .
To achieve the exact verified high-performance results shown in the official strategy reports, users are highly recommended to strictly match the input parameter configurations provided in the attached screenshots. Using these precise default mathematical thresholds ensures the breakout logic filters market noise perfectly while maintaining optimized risk execution.
- Dynamic Multi-Tier Compounding (Adaptive Risk)
The integrated lot-sizing engine automatically evaluates your account equity and adapts your risk profile in real-time. It deploys an aggressive compounding structure at lower equity tiers (8.0% risk per trade ) to rapidly accelerate initial account growth, then automatically scales down to a hyper-conservative profile (1.5% risk ) as major capital milestones are secured. - Prop-Firm Compliant Daily Drawdown Caps
Engineered to pass the industry's most rigorous daily risk parameters. Empirical backtest analysis confirms a remarkably tight Max Daily Drawdown of only 2.84% to 3.25% —safely below the standard 5% institutional daily loss ceiling. - Multi-Layered Capital Protection & Cooldown Shields
Features an elite safety matrix including a strict 10% Daily Loss Limit and a trailing equity Giveback Lock . Furthermore, if a threshold of 4 consecutive losses is met, it immediately activates a mandatory 3-bar Cooldown Phase to completely eliminate emotional overtrading during choppy market phases.
- Backtest Testing Period: January 2026 to June 2026 (6 Months of Live Broker Market Volatility)
- Trading Strategy: Pure Intraday Momentum Breakout & Trend-Following
- Trading Timeframe: M5 (5 Minutes Chart Execution)
- History Quality: 100% (Maximum backtest data precision using real broker ticks)
- Max Daily Drawdown: 2.84% - 3.25% (Ultra-tight institutional daily protection)
- Maximal Equity Drawdown: 7.52% (Hyper-conservative risk containment)
- Total Net Profit: +$7,361.76 (On a $10,000 baseline — +73.6% Account Growth )
- Profit Factor: 2.12 (Highly efficient gross profit generation)
- Sharpe Ratio: 7.56 (Exceptional, world-class volatility-adjusted return quality)
- Recovery Factor: 5.91 (Extremely fast recovery to new equity highs)
- Trading Instrument: GOLD / XAUUSD
- Account Type: Raw Spread, ECN, or Zero Spread with low commissions (Raw accounts are highly recommended for tight spreads).
- VPS: A high-speed VPS with low latency to the broker's server (<5ms) is highly recommended for optimal breakout execution.
