Mozzo lab

0 değerlendirme
Güvenilirlik
1 hafta
0 / 0 USD
büyüme başlangıcı: 2026 1%
Alım-satım işlemlerini gerçek zamanlı olarak görmek için lütfen giriş yap veya kayıt ol
  • Varlık
  • Düşüş
İşlemler:
13
Karla Kapanan İşlemler:
7 (53.84%)
Zararla Kapanan İşlemler:
6 (46.15%)
En iyi işlem:
16 760.48 USD
En kötü işlem:
-8 106.61 USD
Brüt Kar:
38 047.22 USD (486 pips)
Brüt Zarar:
-27 271.16 USD (311 pips)
Maksimum ardışık kazanç:
5 (35 566.37 USD)
Maksimum ardışık kar:
35 566.37 USD (5)
Sharpe Oranı:
0.12
Alım-satım aktivitesi:
7.63%
Maks. mevduat yükü:
12.18%
En son işlem:
7 saat önce
Hafta başına işlemler:
13
Ort. tutma süresi:
27 dakika
Düzelme Faktörü:
0.44
Alış İşlemleri:
6 (46.15%)
Satış İşlemleri:
7 (53.85%)
Kar Faktörü:
1.40
Beklenen Getiri:
828.93 USD
Ortalama Kar:
5 435.32 USD
Ortalama Zarar:
-4 545.19 USD
Maksimum ardışık kayıp:
3 (-10 057.34 USD)
Maksimum ardışık zarar:
-10 057.34 USD (3)
Aylık büyüme:
1.08%
Algo alım-satım:
92%
Bakiyeye göre düşüş:
Mutlak:
10.48 USD
Maksimum:
24 737.95 USD (2.39%)
Göreceli düşüş:
Bakiyeye göre:
2.39% (24 737.95 USD)
Varlığa göre:
0.61% (6 267.40 USD)

Dağılım

Sembol İşlemler Sell Buy
FDAX_M 13
5 10 15 20
5 10 15 20
5 10 15 20
Sembol Brüt Kar, USD Zarar, USD Kar, USD
FDAX_M 11K
20K 40K 60K
20K 40K 60K
20K 40K 60K
Sembol Brüt Kar, pips Zarar, pips Kar, pips
FDAX_M 175
200 400 600 800
200 400 600 800
200 400 600 800
  • Mevduat yükü
  • Düşüş
En iyi işlem: +16 760.48 USD
En kötü işlem: -8 107 USD
Maksimum ardışık kazanç: 5
Maksimum ardışık kayıp: 3
Maksimum ardışık kar: +35 566.37 USD
Maksimum ardışık zarar: -10 057.34 USD

Farklı aracı kurumların gerçek hesaplarındaki işlem gerçekleştirme istatistiklerine dayalı olarak pip cinsinden ortalama kaymalar. "Darwinex-Live" sunucusundan sağlayıcının fiyatları ile abonenin fiyatları arasındaki farka ve işlem gerçekleştirme gecikmelerine bağlıdır. Daha düşük değerler, daha iyi kopyalama kalitesi anlamına gelir.

Veri yok

Mozzo lab | Algorithmic Trading System

Welcome to the Mozzo lab page.

This signal replicates the activity of a proprietary Expert Advisor (EA) developed in the MQL5 environment. It is a systematic quantitative model focused on equity indices (DAX and Dow Jones / US30), designed to exploit price inefficiencies through volume absorption.

Strategic Architecture (Algorithm Logic):

The system does not chase the market; rather, it operates on a statistical Mean Reversion basis according to three algorithmic pillars:

  • Trend Filter (ADX): The algorithm analyzes the Average Directional Index. It operates exclusively when the market is in a temporary range or consolidation phase, avoiding trading against macroeconomic trends.

  • Volume Absorption and Rejection: When the price touches the outer volatility bands (Bollinger Bands), the EA analyzes the volume (Tick/Real Volume). If it detects an above-average volume spike associated with a rejection pattern (the price "rejects" the highs or lows, leaving long shadows on the candlestick), the algorithm enters the market, anticipating the exhaustion of the momentum.

  • Non-Toxic Execution: The system manages only one position at a time. It strictly avoids high-risk strategies such as Grid, Martingale, or the serial accumulation of losing positions.

Risk Management Protocol:

  • Asymmetry and Protection: Every trade is opened with strict, mathematically calculated Stop Loss and Take Profit levels.

  • Profit Protection: The algorithm integrates dynamic BreakEven functions (to eliminate risk as soon as the trade moves in our favor) and a Trailing Stop to maximize returns on extended market movements.

  • Single Session Trading (Intraday Flat): The EA operates within a defined time window and features an automatic hard-close function at the end of the day. No positions are held overnight or during the weekend, completely eliminating the risk of market gaps when exchanges are closed.

Universal Compatibility (Futures & CFDs):

The algorithm uses mathematical absolute value management for its targets. This means that the default parameters (such as the 80-point Stop Loss) are universal and do not require any conversion by the user, regardless of whether your broker uses 0, 1, or 2 decimals on indices.

  • Operational note for CFD users: Since the system was originally tested on Futures, the only adjustment required from the user when using a CFD broker (e.g., ActivTrades, IC Markets, etc.) is to correctly calibrate the "InpLotSize" parameter. We invite you to test in a Demo environment to determine the value of 1 Lot on your specific broker in order to correctly adapt the exposure to your account balance.

Transparency and Expectations:

This signal is managed with an institutional approach. Losses and drawdown periods are structural elements of any quantitative strategy and are accepted within strictly controlled risk parameters. We invite you to evaluate the metrics and the stability of the equity curve over the medium to long term.


Değerlendirme yok
2026.05.20 07:26
Removed warning: Low trading activity - not enough trades detected during the last month
2026.05.20 06:24
Removed warning: Low trading activity - not enough trades detected during the last month
2026.05.16 07:51
Low trading activity - only 2 trades detected in the last month
2026.05.16 07:51
This is a newly opened account, and the trading results may be of random nature
2026.05.16 07:51
The number of deals on the account is too small to evaluate trading quality
Alım-satım işlemlerini gerçek zamanlı olarak görmek için lütfen giriş yap veya kayıt ol
Sinyal
Fiyat
Büyüme
Aboneler
Fonlar
Bakiye
Haftalar
Uzman Danışmanlar
İşlemler
Kazanç yüzdesi
Aktivite
PF
Beklenen Getiri
Düşüş
Kaldıraç
Ayda 50 USD
1%
0
0
USD
1M
USD
1
92%
13
53%
8%
1.39
828.93
USD
2%
1:200
Kopyala