H Bandys zScore

Howard Bandy's - Naive Mean Reversion System - version 1.0

A professional implementation of Howard Bandy's Z-Score strategy, designed to systematically capture high-probability short-term reversals in Indicies, ETFs and Equity markets.

The Z-Score measures how many standard deviations the current price is from its recent mean. When price deviates significantly below the mean (negative Z-Score), statistical probability favours a reversion back toward average. This is one of the most mathematically rigorous approaches to mean reversion trading.

Core Edge

The Z-Score is a pure statistical measure of how far price has deviated from its recent average:

  • A Z-Score of -1.0 means price is one standard deviation below the mean
  • Well-understood probability distributions underpin the signal
  • No subjective interpretation required -- purely mathematical
  • Consistent across different price levels and instruments

Unlike subjective oversold readings, the Z-Score provides an objective, mathematically grounded way to identify when mean reversion is likely — making it one of the most rigorous approaches to short-term trading.

How Z-Score Is Calculated

The Z-Score standardizes how far price has deviated from its recent average, measured in units of standard deviation. It uses a single lookback period (default 10 bars) for both the mean and the volatility estimate:

SMA = Simple Moving Average of Close over N bars StdDev = Standard Deviation of Close over N bars

Z-Score = (Close - SMA) / StdDev

When the close is below the moving average, the numerator (Close - SMA) is negative, producing a negative Z-Score. Dividing by standard deviation normalizes the result so that a Z-Score of -1.0 always means "one standard deviation below the mean," regardless of the instrument's price level or typical volatility.

In a normal distribution, roughly 68 percent of observations fall within one standard deviation of the mean. A Z-Score of -1.0 places price in the lower tail — a statistically significant oversold condition. The default entry threshold of -1.0 captures these events, while the exit at -0.25 closes the trade as price begins reverting toward the mean (note this is still negative — the system exits early rather than waiting for a full reversion to zero).

Research Foundation

Based on Howard Bandy's Z-Score application from "Mean Reversion Trading Systems" (Blue Owl Press, 2013). The Z-Score is calculated as (Close - SMA) / StdDev over a lookback period, producing a normalized measure that works consistently across different price levels and instruments.

Bandy's mean reversion strategies were originally designed as long-only systems, reflecting the natural upward bias of equity markets. The short side has been coded into this EA for those who wish to experiment, but the long side is where the primary research edge lies.

Strategy Rules

Long side:

  • Entry: Z-Score drops below -1.0 (default) while price is above the SMA trend filter
  • Exit: Z-Score rises above -0.25 (default). Note this is still negative -- the system exits once price begins reverting toward the mean, not waiting for a full reversion. Take profit and N-bar timeout are available but OFF by default

Short side (disabled by default):

  • Entry: Z-Score rises above 1.0 (default) while price is below the SMA trend filter
  • Exit: Z-Score drops below 0.25 (default). Take profit and N-bar timeout are available but OFF by default

Optional scaling allows additional entries on subsequent bars if the Z-Score remains at extreme levels.

Typical System Behaviour

  • High win rate (often 70 to 85 percent depending on market and settings)
  • Small, consistent gains per trade
  • Occasional drawdowns during strong trending markets
  • Performs best on liquid equity indices and ETFs

This is a mean reversion system, not a trend-following strategy. It profits from short-term pullbacks rather than large directional moves.

Who This EA Is For

Ideal for:

  • Traders building multi-strategy portfolios
  • Users familiar with systematic trading concepts
  • Traders targeting consistency over aggressive returns

Not suitable for:

  • "Set and forget" users expecting constant profits
  • Traders who cannot tolerate temporary drawdowns
  • Users seeking high-risk, high-return systems

Key Features

  • Fully automated execution on MetaTrader 5
  • Multi-symbol trading: up to 10 markets from a single chart
  • Three position sizing modes: Fixed Lots, Dollar Value, and Account Percentage
  • Automatic currency conversion for cross-currency instruments
  • Z-Score level exit provides statistically grounded signal management
  • Optional scaling into deeper pullbacks
  • Optional enhanced exits: Take Profit (%) and N-Bar Timeout
  • Built-in performance dashboard with win rate, P&L, average trade, and open positions
  • Alerts via chart popups, push notifications, and email

Recommended Markets

Best suited for:

  • US equity indices: S&P 500 (US500), NASDAQ 100 (NDX100/US100), Dow Jones (US30)
  • Other liquid indices: Russell 2000 (US2000), ASX 200, DAX 40, FTSE 100
  • Equity ETFs: SPY, QQQ, DIA, IWM, XLK

Individual equities can be traded but carry higher risk. Single stocks are inherently more volatile than indices and ETFs, and their downside risk during company-specific events is substantially larger. If trading individual equities, use conservative position sizing and always backtest first.

Not recommended for Forex or commodities unless specifically tested. Do not mix asset classes in the same EA instance.

Screenshots

Screenshots show individual trade examples on SPY with Z-Score indicator values, entry and exit markers, and strategy details.

Part of a Professional EA Series

This EA is one of 9 mean reversion strategies available from M.Wills. All target the same core edge — short-term pullbacks in trending markets — but each uses a different signal to identify when that pullback has gone far enough. Running multiple uncorrelated entry signals together can reduce drawdowns, improve consistency, and smooth equity curves.

The series includes:

  • Connors TPS (scale-in with RSI)
  • Connors RSI2 (RSI extreme readings)
  • Connors Double 7s (7-day price channel)
  • Connors Percent B (Bollinger Band %b)
  • Bandy Naive MR (consecutive down days)
  • Bandy PIRDPO (detrended price oscillator)
  • Bandy RVI2 (relative vigor index)
  • Bandy DV2 (close-to-midpoint momentum)
  • Bandy Z-Score (statistical z-score)

Expert Advisor Settings

General Settings

Magic Number (default: 12345) - Unique identifier for this EA's trades. Use different numbers when running multiple EAs on the same account to prevent trade conflicts.

Trade Entry Mode (default: Open of Next Bar) - Controls when trades are executed:

  • OPEN OF NEXT BAR: Places trades at the next bar open. Best for backtesting.
  • CLOSE OF THIS BAR: Executes near the daily session close. Recommended for live trading.
  • EXACT TIME: Executes at a user-defined time each day using the broker's server clock.

Exact Time (default: 23:54) - The time in HH:MM format used when Trade Entry Mode is set to Exact Time.

Timeframe (default: Current) - The chart timeframe for analysis. Daily is recommended.

Position Sizing

Sizing Mode (default: Lot Size) - Determines how position size is calculated:

  • LOT SIZE: Uses a fixed number of lots per trade entry.
  • TRADE VALUE $: Allocates a fixed dollar amount per trade, automatically converted to the correct lot size.
  • ACCOUNT BALANCE %: Allocates a percentage of the current account balance per trade.

Position Size (default: 0.01) - The value applied to the selected sizing mode.

Max Margin % of Equity (default: 30.0) - Safety limit that caps how much margin a single trade can consume relative to account equity. Before every trade, the EA calculates the required margin and checks whether it would exceed this percentage of current equity. If it would, the trade is skipped and a message is logged to the Journal. This prevents accidental over-leverage on brokers with high minimum lot sizes. Set to 0 to disable.

Symbol Management

Additional Symbols (default: blank) - Comma-separated list of additional symbols to trade from a single chart (e.g. US500,NDX100,ASX200). Leave blank to trade only the chart symbol.

Max Symbols Open at Once (default: 2) - Maximum number of symbols that can have active trades simultaneously.

Indicator Settings

Z-Score Lookback Period (default: 10) - The number of bars used to calculate the mean (SMA) and standard deviation for the Z-Score. A larger period produces a more stable, longer-term measure; a smaller period is more responsive to recent moves.

Long System

Enable Long (default: true) - Toggles long (buy) trading on or off.

Trend Filter: Price > SMA (default: true) - Long trades are only taken when price is above the moving average, ensuring trades align with the broader uptrend.

Trend Filter: SMA Period (default: 200) - The lookback period for the trend filter.

Entry: Z-Score Below (default: -1.0) - When Z-Score drops below this level, a long entry is triggered. A value of -1.0 means price is one standard deviation below the recent mean.

Entry: Additional on Subsequent Days (default: 0) - If the Z-Score remains at extreme levels after the initial entry, take additional positions. Set to 0 for a single entry only.

Exit: Z-Score Above (default: -0.25) - When Z-Score rises above this level, long positions are closed. Note this is still negative — the system exits once price begins reverting toward the mean, not waiting for a full reversion.

Exit: Take Profit % (default: 0.0) - Percentage-based profit target. Disabled by default — the Z-Score level exit is the primary exit mechanism. Set to a percentage value to enable.

Exit: N-Bar Timeout (default: 0) - Maximum bars to hold a position. Disabled by default. Set to a non-zero value to add a time-based exit.

Short System

Enable Short (default: false) - Toggles short (sell) trading on or off. Disabled by default.

Trend Filter: Price < SMA (default: true) - Short trades are only taken when price is below the moving average, ensuring trades align with the broader downtrend.

Trend Filter: SMA Period (default: 200) - The lookback period for the trend filter.

Entry: Z-Score Above (default: 1.0) - When Z-Score rises above this level, a short entry is triggered. A value of 1.0 means price is one standard deviation above the recent mean.

Entry: Additional on Subsequent Days (default: 0) - If the Z-Score remains at extreme levels after the initial entry, take additional positions. Set to 0 for a single entry only.

Exit: Z-Score Below (default: 0.25) - When Z-Score drops below this level, short positions are closed. The system exits once price begins reverting toward the mean.

Exit: Take Profit % (default: 0.0) - Percentage-based profit target for short positions. Disabled by default.

Exit: N-Bar Timeout (default: 0) - Maximum bars to hold a short position before closing at market. Disabled by default.

Display Settings

Show Dashboard (default: true) - Displays the on-chart information panel showing all active settings and current trade status.

Font Size (default: 20) - Text size for the dashboard display.

Show Trade Metrics (default: true) - Includes performance statistics in the dashboard: total trades, win/loss ratio, accuracy, average trade, and cumulative P&L.

Metrics Start Date (default: 2000.01.01) - Starting date for performance calculations.

Alerts and Notifications

Chart Alerts (default: false) - Enable on-chart popup alerts when trade signals are generated.

Push Notifications (default: false) - Enable mobile push notifications for trade signals. Requires push notifications to be configured in the MetaTrader 5 terminal.

Email Notifications (default: false) - Enable email notifications for trade signals. Requires email to be configured in the MetaTrader 5 terminal settings.

Backtesting and Execution Notes

This strategy is designed for entry at the close of the trading day, when the signal is first identified. Backtesting research shows that entering at the close provides a measurable edge over waiting for the next day's open.

  • Default mode: Open of Next Bar (required for MQL5 Market validation)
  • Recommended for live trading: Close of This Bar, or Exact Time (1-2 minutes before market close)
  • Set Exact Time to match your broker's daily close (e.g. 23:54 for a server that closes at 23:55)

Backtesting tips:

  • Use "1 minute OHLC" or higher tick model for accurate results on daily bars
  • Do not use "Open prices only" for daily timeframe strategies
  • Close of This Bar and Exact Time modes may not function correctly in the Strategy Tester

Additional notes:

  • Do not mix different asset classes in the same EA instance
  • For Forex and Metals, use the Lot Size position sizing method only -- Trade Value and Account Percentage modes are designed for stocks and indices

Requirements

  • MetaTrader 5 platform (Hedging or Netting account)
  • Minimum recommended leverage: 1:30
  • Daily timeframe preferred
  • All symbols must be available in your broker's Market Watch

Support

If you need custom adjustments or have questions, leave a comment with your email and we will get back to you. Always test the EA on a demo account before running it on a live account.

Risk Disclosure

This EA trades mean reversion setups using statistical Z-Score readings. However, Z-Scores can remain at extreme levels during sustained trends, and exits may not prevent losses during severe drawdowns. Backtests use historical data and do not account for slippage, partial fills, or changing market conditions. Proper position sizing relative to account equity is essential. Always test with demo accounts before trading live. Past performance does not guarantee future results.


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Mahmoud M A Alkhatib
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Aureus Edge Gold Trader
Craig Joshua Binnekamp
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Michael Prescott Burney
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PipFinite EA Breakout EDGE MT5
Karlo Wilson Vendiola
5 (3)
The Official Automated Version of the Reliable Indicator PipFinite Breakout EDGE EA Breakout EDGE takes the signal of PipFinite Breakout EDGE indicator and manages the trade for you. Because of numerous financial instruments to consider, many traders want the signals to be fully automated. The EA will make sure all your trades are executed from entry to exit. Saving you time and effort while maximizing your profits. The Edge of Automation Effortless price action trading is now possible acros
BITCOIN GLACIER — 面向 BTCUSD 的耐心型日线趋势跟踪系统 BITCOIN GLACIER 是一套在日线(D1)周期上交易比特币(BTCUSD)的自动化交易系统。它是一套缓慢而耐心的趋势跟踪系统:等待日线图上出现经过确认的唐奇安通道(Donchian channel)突破,用初始 ATR 止损保护每一笔交易,随后以更宽的 ATR 距离移动止损,以便骑乘长期的加密货币趋势。没有马丁格尔,没有网格,同一时间只持有一个仓位。每一笔交易都带有硬止损,因此您的风险始终是明确界定的。交易本就设计得很稀少——这是一套"设定后不管"的 D1 系统,只在重大的日线突破时才出手。 风险提示优先:已发布的默认 Run-Mode 为 ULTRA(经验证的最大风险)。它以最高回报为目标,并会达到约 47% 的深度回撤。请选择与您的账户和心态相匹配的 Run-Mode——Aggressive 是我们日常推荐的档位;Ultra 面向能够接受大幅权益波动的资深交易者。以下所有回测均为历史数据,并非实盘业绩记录。 四个风险档位——一个下拉菜单、同一信号、风险按比例缩放(真实 tick 回测
Gold Trend Expert
Daniel Ivan Gutierrez Montiel
Gold Trend Expert — The EA That Trades Gold While You Live Your Life How many gold opportunities do you miss because you're not watching the charts? Gold Trend Expert trades for you — 24 hours a day, 5 days a week — on the gold market (XAUUSD), with zero emotions and zero interruptions. Why Gold Trend Expert? Fully automated — set it up once and let it work Built-in risk management — every trade has an automatic Stop Loss No martingale, no grid — fixed lot, no high-risk compounding strateg
Blazing Night Scalper MT5
Scott Fredeman
4.85 (20)
BLAZING NIGHT SCALPER ALL NEW GRID RECOVERY SYSTEM ADDED Night scalping using Stop Losses have worked incredibly well in previous years prior to 2022. Blazing Night Scalper was originally tested on more than 10 years of Tick Data using Take profit and Stop Loss with amazing results. As soon as we hit 2022 night scalpers became gradually more difficult to gain profits most likely due to many reason such as brokers increasing spreads and having too many Expert advisors trading during these hours
NeuroGold SMC Adaptive
Dmitriq Evgenoeviz Ko
NeuroGold SMC Adaptive is a high-tech trading expert advisor for MetaTrader 5, specifically designed for gold ( XAUUSD ). The robot is based on a multi-layer neural network architecture that combines classic technical analysis, Smart Money (SMC) concepts, and adaptive volatility filtering algorithms. In 2026, the gold market is characterized by increased volatility and frequent false breakouts. This expert addresses this issue through ensemble analysis, where entry decisions are made only when
Smart Gold Hunter
Barbaros Bulent Kortarla
5 (19)
Smart Gold Hunter 是一款用于 MetaTrader 5 的 XAUUSD / Gold 交易 Expert Advisor。它适合希望使用无网格、无马丁格尔、真实 Stop Loss 和 Take Profit 逻辑,并且重视风险控制的黄金交易者。 您可以在购买前查看实时信号: Live Signal - IC Markets: https://www.mql5.com/en/signals/2365400?source=Site +Signals+My Live Signal - Ultima Markets: https://www.mql5.com/en/signals/2376242?source=Site +Signals+My Smart Gold Hunter 不是网格 EA,也不是马丁格尔 EA。它不依赖无限加仓、恢复单或亏损后加倍手数。EA 的主要思路是用受控逻辑、保护设置和真实交易管理来交易黄金,而不是使用高风险的平均加仓方式。 该 EA 主要为 XAUUSD / Gold 设计。您可以将其用于 XAUUSD 或经纪商提供的黄金品种,例如 XAUU
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4.51 (128)
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4.46 (102)
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4.46 (122)
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5 (16)
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Vladimir Lekhovitser
4.5 (2)
实时交易信号 交易活动的公开实时监控: https://www.mql5.com/zh/signals/2378119 官方信息 卖家资料 官方频道 用户手册 安装说明和使用指南: 查看用户手册 Mavrik Scalper 是基于 Hybrid Attention 神经网络架构开发的新一代专家顾问。 与依赖预定义交易规则的传统算法策略不同,Mavrik Scalper 使用经过训练的神经网络模型,能够同时分析市场行为的多个特征。 Hybrid Attention 架构使系统能够动态关注最重要的市场信息,同时降低次要价格波动的影响。 该模型旨在识别短期交易机会,并更加注重执行质量,而不是交易数量。 每一个交易决策都基于模型学习到的多个特征之间的综合关系,而不是单一信号。 交易活动具有自适应特性。 某些交易时段可能完全没有开仓。 而在市场条件有利时,系统可能会在较短时间内执行多笔交易。 这种行为是策略决策过程的组成部分,应被视为正常特性,而不是缺乏交易机会。 风险管理已集成到执行框架之中。 每笔交易均设置预定义的 Stop Loss 和 Take Profi
Gold House MT5
Chen Jia Qi
4.53 (59)
Gold House — 黄金摆动突破交易系统。 一个EA,三种交易模式。选择最适合你的交易风格。无网格,无马丁。 每售出 10 份,价格将上涨 50 美元。最终计划价格:1,999 美元。 实盘信号: 利润优先模式: https://www.mql5.com/cn/signals/2359124 BE 优先模式: https://www.mql5.com/cn/signals/2372604 Adaptive Mode: https://www.mql5.com/cn/signals/2379287   (高风险配置参考——盈亏都会被放大,不属于推荐配置。) 重要:购买后请务必私信我们,以获取推荐参数、使用说明、注意事项以及使用技巧。 (MQL5私信): https://www.mql5.com/en/users/walter2008 保持更新——加入我们的 MQL5 频道以获取产品更新和交易技巧。打开链接后,请点击页面顶部的“订阅”按钮进行关注。: 点击加入 这套EA来自我们团队的内部实盘账户,基于 7 年历史数据开发验证,并经过实盘确认后才决定公开。我们没有为了上架专门优
SomaOil
Andrii Soma
5 (2)
SomaOil 是一款专为 MetaTrader 5 打造的多策略突破型智能交易系统(EA),仅适用于 WTI 原油(XTIUSD)。一张图表、一个 EA,20 套独立策略并行运行,构成单一、分散化的组合。 实时信号。 为在上线时让更多人能够入手,我采用透明的阶梯定价模式: 首发价:100 USD(48 小时) 自周一起,每售出 10 份拷贝,价格上涨 100 USD 价格每天最多上涨一次,即使同一天售出超过 10 份亦然 早期购买者在产品生命周期内锁定最低价格。 理念 与其运行单一、容易过度拟合某一狭窄市况的设置,SomaOil 自带一套精选的 20 套预调策略,全部在同一 WTI 图表上的单个 EA 中并行运行。 每套策略拥有各自的 magic number、注释、时间周期、摆动识别参数、出场规则、新闻距离与手数步长。它们共享同一执行引擎但独立交易,因此您可在多个时间周期与突破宽度上获得真正的分散化,而无需管理大量图表。 组合构建 我在两个互补的样本内区间上进行了优化,每个区间使用相同的参数网格: 时间周期分为 5 组:D1、H12、H8、H4、H1 突破宽度有三种变体: V1 B
Logan MT5
Thierry Ouellet
5 (6)
LIMITED TIME OFFER AT 249$ Price will go up at  499$ on July 24th! Logan MT5 isn't your typical Gold Grid EA that blindly opens trade after trade, consuming your margin and putting your capital at unnecessary risk. Instead, it patiently waits for high-probability entry opportunities and uses an intelligent recovery system that combines ATR-based grid spacing with dynamic lot progression . This allows it to withstand adverse market movements that would wipe out most conventional grid EAs—includ
Quantum Emperor MT5
Bogdan Ion Puscasu
4.86 (507)
介绍     QuantumEmperor EA 是一款突破性的 MQL5 专家顾问,它正在改变您交易著名的 GBPUSD 货币对的方式!由拥有超过13年交易经验的经验丰富的交易者团队开发。 IMPORTANT! After the purchase please send me a private message to receive the installation manual and the setup instructions. ***购买 Quantum Emperor EA,即可免费获得  Quantum StarMan  !*** 私信询问更多详情 已验证信号:   点击此处 MT4版本:   点击这里 量子 EA 通道:       点击这里 每购买 10 件,价格将增加 50 美元。最终价格为 1999 美元 量子皇帝EA     采用独特的策略,将单笔交易连续拆分成五笔较小的交易。这意味着每次 EA 执行一笔交易时,它都会自动将其拆分成五个较小的仓位。 量子皇帝EA     量子帝王EA凭借其卓越的亏损交易处理方法,在众多专家顾问中脱颖而出。
Pulse Engine
Jimmy Peter Eriksson
3.94 (34)
最新消息——目前仅剩少量存货,欲购从速! 该系统的主要目标是在不使用任何有风险的鞅或网格的情况下实现长期的实时性能。  数量极其有限,现价优惠 最终价格 1499 美元 【实时信号】    |    【回测结果】    |    【设置指南】    |    【FTMO 结果】 一种不同的交易方法 Pulse Engine 不使用任何指标或特定时间框架。它采用了一种非常独特的方法,这是 MQL5 上任何其他交易系统都不采用的方法。 它交易的是日内方向性模式。这些模式是我利用自己多年来不断开发和完善的特定模式识别软件发现的。 该软件使我能够识别出市场历史上在一天中哪些时段会出现强劲的单向波动。 每个市场和每周的每一天都有其独特的走势。 这种方法之所以如此强大,是因为它不依赖于市场是处于趋势行情、反转行情还是任何特定的市场状态。其模式与这些因素完全无关。 脉冲引擎包含涵盖 六大市场的 70 多种不同模式 ,并结合超过 5万笔 交易的历史回测数据。 每个市场的回测时间均尽可能追溯至数据允许的最长时期, 外汇货币对约 20年,指数约 15 年, 加密货币 约10 年。这确保了极高的统计显
BB Return mt5
Leonid Arkhipov
4.48 (124)
BB Return — 一款用于黄金交易(XAUUSD)的智能交易系统(EA)。该交易思路最初来自我的 手动交易 经验。策略核心是价格回归 Bollinger Bands(布林通道) 区间,但并非机械式或每次触及即入场。针对黄金市场的特性,系统加入了额外过滤条件,用于剔除无效和低质量的市场环境,仅在回归逻辑真正成立时才开仓。   Global   update   on   June   14th   交易原则 — 系统不使用网格、马丁或加仓平均成本等风险策略。EA 可使用 固定手数 或 AutoRisk 自动风险 模式运行。BB Return 对点差、滑点及不同经纪商的报价方式不敏感,可在任何经纪商及多种账户类型下运行,包括 Standard、ECN、Pro、Raw、Razor 。系统不受交易时段限制,可 24 小时运行 。   $ 359   不是最终价格。 当前价格仅剩 5–7 个名额。 之后将上涨。 该EA限量提供,以保证策略的稳定性。 设置与交易频率 — 启动系统无需复杂设置,策略设计即基于 默认参数 运行,通常只需调整手数或 AutoRisk 模式。系统平均每年约执行
Quantum Bitcoin EA
Bogdan Ion Puscasu
4.77 (128)
量子比特币 EA   :没有不可能的事情,唯一的问题是弄清楚如何去做! 使用 Quantum Bitcoin EA 迈向 比特币 交易的未来,这是来自顶级 MQL5 卖家之一的最新杰作。Quantum Bitcoin 专为追求性能、精度和稳定性的交易者而设计,重新定义了加密货币波动世界中的可能性。 重要提示! 购买后,请给我发送私人消息,以获取安装手册和设置说明。 每购买 10 件,价格将增加 50 美元。最终价格为 1999 美元 100本只剩80本了。 量子比特币/女王通道:       点击这里 ***购买 Quantum Bitcoin EA 即可免费获得 Quantum StarMan!*** 私信询问更多详情! Quantum Bitcoin EA 在 H1 时间范围内蓬勃发展,采用 趋势跟踪策略 来捕捉市场动量的本质。它利用 复杂的网格方法 来确保每个交易周期都以胜利结束——将波动性从挑战转变为机遇。比特币市场以 4 年为一个周期,Quantum Bitcoin EA 经过优化,可以捕捉每个周期中发生的模式,确保它始终以有利的方式结束交易 为什么选择量子比
Cortex Aurex
Vladimir Mametov
5 (2)
这是一个专为黄金(XAUUSD)交易而开发的全自动 MetaTrader 5 智能交易系统(Expert Advisor)。其交易逻辑专门针对黄金市场的特点而设计,包括快速的价格波动、剧烈的市场反转以及高波动性。该 EA 能够在对执行速度、交易纪律和精确仓位管理要求极高的市场环境中实现全自动交易。 该系统专注于严格的交易管理、快速响应市场变化以及受控的出场策略。其核心理念非常简单:通过移动止损(Trailing Stop)让盈利交易尽可能延续,同时使用固定止损(Stop Loss)保护每一笔交易,并在 M1 时间周期出现反向信号时提前平掉亏损仓位,从而进一步控制风险。 信号:  https://www.mql5.com/en/signals/2378776 特别优惠价格: 当前价格仅适用于前 40 份授权。售出 40 份后,EA 的价格将上涨 100 美元 ,调整为 599 美元 。 核心理念 本智能交易系统专为希望使用自动化黄金(XAUUSD)交易工具,并需要清晰、实用仓位管理机制的交易者设计。 EA 采用趋势跟随策略,在主趋势方向上的回调中寻找入场机会,从而在已有趋势中获得更有利的
Impulse MT5
Simon Reeves
5 (13)
Are you ready to power up your Gold trading? Impulse by Starpoint Trading — A six-strategy gold EA that waits for the perfect shot. Launch offer: 30% off until 26th July   — to celebrate the v2.00 release, Impulse is available at a 30% discount. On 26th July the price reverts to $499, so grab it while the offer lasts. Impulse v2.00 is here! The biggest update in Impulse's history has arrived. Version 2.00 takes everything that made Impulse a disciplined, patient Gold trading system and elevates
Wave Rider EA MT5
Adam Hrncir
4.88 (42)
Scalper speed with sniper entries. Built for Gold. Wave Rider 5.0 is out (see  Announcement ) $499 for a limited time  before the regular $599 price kicks in. Check the Live signal  or Manual  or  Broker performance Version 5.0 upgrade notice: Close all Wave Rider positions before updating. Strategy Magic Numbers and several input names changed. Review your settings and save a new preset because older sets or templates may not restore every option. New version runs best on VT Markets, Vantage, B
XG Gold Robot MT5
MQL TOOLS SL
4.3 (111)
The XG Gold Robot MT5 is specially designed for Gold. We decided to include this EA in our offering after extensive testing . XG Gold Robot and works perfectly with the XAUUSD, GOLD, XAUEUR pairs. XG Gold Robot has been created for all traders who like to Trade in Gold and includes additional a function that displays weekly Gold levels with the minimum and maximum displayed in the panel as well as on the chart, which will help you in manual trading. It’s a strategy based on Price Action, Cycle S
Chiroptera
Rob Josephus Maria Janssen
4.57 (46)
Prop Firm Ready! Chiroptera is a non-martingale, non-grid, multi-currency Expert Advisor that operates in the quiet hours of the night. It uses single-placed trades (of all 28 pairs!) with tactically placed Take Profits and Stop Losses, that are continuously adjusted to maximize gains and minimize losses. It keeps track of past and upcoming news reports to ensure impacts are minimized and carefully measures real-time volatility to prevent impacts due to unpredictable geo-political disturbances c
Vex Gold EA
Lars Laeremans
5 (6)
VEX 2.00 is here. Now prop firm ready. 4 Months stable Live signal Now upgraded with an optional Prop Firm Mode. No grid. No martingale. One position at a time Live Trading Signal: BlackBull Live Signal   Blackbull High Risk Signal New public channel with upcoming updates and broker-by-broker comparisons https://www.mql5.com/en/channels/vexgoldea Setup instructions and usage guidelines View user manual Defined rules. Fixed risk. One position at a time. No AI, no machine learning, no
SixtyNine EA
Farzad Saadatinia
5 (3)
SixtyNine EA – 一款适用于 MetaTrader 5 的黄金交易专家顾问,具备 6 个集成策略层、每笔交易预设 Stop Loss,以及不使用马丁格尔、Recovery 系统或网格交易的清晰交易结构。 公开实盘信号:$500 初始资金,固定 0.02 手,500%+ 增长,实盘运行超过 20 周 公开实盘信号是 SixtyNine EA 最重要的运行证明。该账户以 $500 余额 开始交易,采用 每笔交易固定 0.02 手 ,并已持续进行超过 20 周 的真实交易。在此期间,实现了超过 500% 的总增长 。 该信号同时展示了系统在真实市场环境中的风险表现,包括约 20% 的回撤 。由于该信号是在较小的 $500 账户中使用固定 0.02 手交易,偏好更低风险的用户可以根据市场情况和经纪商执行条件选择更小的手数设置以及更保守的 set 文件。 LIVE SIGNAL HERE 价格: $299 → 下一阶段: $499 → 最终: $999 SixtyNine EA 专为 MetaTrader 5 平台上的黄金(XAUUSD)交易 设计。它结合了 6 个集成策略层
Obsidian Flow Atlas EA
Valentina Zhuchkova
5 (6)
Obsidian Flow Atlas EA 精准 · 结构 · 执行 金融市场不会奖励情绪化的交易。 市场奖励的是纪律、稳定性,以及基于客观数据做出决策的能力。 Obsidian Flow Atlas EA 正是基于这一理念而开发。 这是一套面向 MetaTrader 5 的全自动交易系统,专为以下两种全球最受欢迎的交易品种而设计: • XAUUSD(黄金) • EURUSD(欧元兑美元) 系统能够自主分析市场环境、开仓并管理仓位,依靠其内部交易逻辑和内置风险管理模型独立运行。 您无需长时间盯盘、寻找入场机会或手动做出交易决策。 只需安装 EA,选择适合您的风险等级,然后让系统完成其余工作。 经验证的真实交易表现 为了确保最大程度的透明度,系统的实际交易表现可通过以下公开信号进行查看。 XAUUSD(黄金) https://www.mql5.com/en/signals/2378564 超过 3 个月的真实账户实盘交易记录。 EURUSD(欧元兑美元) https://www.mql5.com/en/signals/2378563 超过 3 个月的真实账户实盘交易记录。 这些公开信号
Precise Pair Trading Pro
Arkadii Zagorulko
3.75 (12)
请注意,我不会通过任何第三方经销商、代理或其他分销渠道销售此 EA。 监控 -  实时信号 公开频道 - 这里 此 EA 交易两个品种,并寻找它们之间的短期失衡。当两个品种的走势偏离它们通常的正常关系时,EA 可以开仓,并在失衡变小时平仓。 这不是网格 EA。这不是马丁格尔。EA 不会打开很多恢复订单。每个品种只使用 1 个持仓。 它不是为了在回撤中持仓很多天而设计的。 EA 在开仓前使用过滤器。如果市场条件不好,它可以跳过交易。 EA 输入参数: 主要交易品种 - 用于交易的第一个品种。 次要品种 - 用于比较和交易的第二个品种。 分析时间周期 - 用于计算的时间周期。 历史数据深度 - EA 检查多少根K线用于计算。 Entry Threshold - EA 开仓前失衡必须有多强。数值越高,交易越少,但信号越强。 Exit Threshold - EA 判断失衡已经变小并且可以平仓的水平。 Close Target - 平仓的利润目标。较小的值可以更快平仓。较大的值可以等待更多利润。 Beta Smoothing - 使信号更稳定,并减少市场噪音。 Min Correlation
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Connors TPS
MATTHEW STAN WILLS
5 (1)
中文翻译 – Larry Connors TPS - 自动交易系统 Larry Connors TPS - 自动交易系统 版本 2.0 – 作者:Matthew Wills 本专家顾问(EA)自动化了 Larry Connors 的“时间、持仓和加仓”(TPS)交易系统 ,该系统首次在他的书中详细介绍: 《高概率ETF交易》 Amazon 购买 链 接 策略概述 Larry Connors 的 TPS 系统利用 市场回调 ,分批建仓,以 优化风险调整后的收益 。 适用于 ETF、股指、股票 及其他 均值回归资产 指数价格在200日均线之上 时效果最佳 交易基于 RSI信号 & 加仓规则 进行执行 标准TPS交易规则: 1️⃣ 交易 ETF、股指或个股 2️⃣ 指数必须高于200日均线(SMA) 3️⃣ 当 RSI(2) < 25 且持续两天 时,开仓 总仓位的 10% 4️⃣ 如果价格进一步下跌 ,再加仓 20% 5️⃣ 如果价格继续下跌 ,再加仓 30% 6️⃣ 如果价格再次下跌 ,再加仓 40% 7️⃣ 当 R
Howard Bandy's - Naive Mean Reversion System Version 1.0   – Developed by   Matthew Wills This EA automates a professional-grade mean reversion system designed to exploit one of the most consistent edges in equity markets: short-term reversals after clustered selling pressure. This Expert Advisor systematically enters trades after consecutive down days within an established trend, capturing the high-probability bounce that often follows. Both long and short trading are supported, with short disa
Connors RSI2
MATTHEW STAN WILLS
Connors RSI2 – The High Win Rate Mean Reversion System for Indicies ETFs & Stocks (MT5) A professional implementation of Larry Connors' RSI(2) strategy, designed to systematically capture high-probability short-term reversals in equity markets. This strategy exploits one of the most consistent edges in trading: extreme short-term exhaustion followed by rapid mean reversion. When RSI(2) reaches extreme levels, markets are temporarily stretched — creating repeatable bounce opportunities that this
Connors Double7
MATTHEW STAN WILLS
Larry Connor's - Double7 Mean Reversion System -  Version 1.0   An enhanced implementation of Larry Connors' Double 7s strategy from "Short Term Trading Strategies That Work," designed to systematically capture high-probability short-term reversals in equity markets. This elegantly simple system buys when price closes at a 7-day low and sells when it closes at a 7-day high. No indicators, no oscillators — just raw price action relative to its recent range. The strategy captures the tendency for
H Bandys PIRDPO
MATTHEW STAN WILLS
Howard Bandy's - PIRDPO (Position in Range Detrended Price Oscillator) A professional implementation of Howard Bandy's PIRDPO (Position In Range of Detrended Price Oscillator) strategy, designed to systematically capture high-probability short-term reversals in equity markets. PIRDPO measures where the current detrended price sits relative to its recent history, expressed as a percentile from 0 to 1. When the percentile is low, price is at the bottom of its detrended range — a classic mean rever
Connors PercentB
MATTHEW STAN WILLS
Larry Connors TPS – PercentB - (Bollinger Band %) A professional implementation of Larry Connors' Percent B strategy, designed to systematically capture high-probability short-term reversals in equity markets. This system uses the Bollinger Band %b indicator to identify when price has moved to a statistical extreme relative to its recent volatility envelope. When %b drops near zero, price is at or below the lower Bollinger Band — a quantified oversold condition that this EA captures with discipl
Bandys RVI2
MATTHEW STAN WILLS
Howard Bandy's RVI2 – Automated Trading System A professional implementation of Howard Bandy's 2-period Relative Vigor Index (RVI) strategy, designed to systematically capture high-probability short-term reversals in Indicies, ETF's and Equity markets. RVI measures the conviction behind price moves by comparing the close-to-open range against the high-to-low range. When RVI is deeply negative, candles are closing near their lows — indicating exhausted selling pressure and a high-probability boun
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