Donchian Gold EA

A small gold trend edge, tested the hard way and published at its real size.

Read this part first

The earlier version of this page showed +221% and a profit factor of 2.18. Those numbers are wrong and I'm taking them down.

That simulation ran a flat 0.1 lot on $10,000. Every stop-out in it lost $403.77, which is 4.04% of the account, while the page claimed 0.5%. Scaled to a real 0.5%, the same trade list gives about +27%. I found it auditing my own research, not because a buyer complained, so I rebuilt everything: 11.5 years instead of 2.7, real spread, real swap, sizing that is what it says. Anyone who already bought gets the corrected version free.

What it does

It trades gold on a higher-timeframe channel breakout. It waits for the market to commit, takes one position, then hands control to a trailing stop calibrated to current volatility rather than a fixed pip count. A wide take-profit sits behind that as a ceiling, but the trail closes almost everything.

It trades both ways. Gold fell through 2022 and climbed through 2025, and a long-only system would have sat out half the sample. One position at a time, no grid, no averaging.

What it makes

XAUUSD, 2015 to 2026, 549 trades, roughly 48 a year. Spread modelled at 0.25 plus real overnight swap, which on gold longs costs more than the spread does.

Risk per trade Profit factor Max equity DD Return per year
0.5% 1.31 4.20% +1.61%
1.0% 1.27 8.24% +2.87%
2.0% 1.28 16.47% +6.21%

Win rate 45.7%. About 54% of months finish green, and 9 of the 12 calendar years were profitable.

Those returns are small and I'd rather you see them now than after you buy. This won't double an account. What it has instead is evidence that the edge is real, which is worth more than a flattering curve.

How I know it isn't curve-fitted

Any strategy can be tuned until the backtest looks good. Three tests, hardest first.

Walk-forward

I picked the settings using 2015 to 2020 only, then measured them on 2021 to 2026, a stretch the choice never saw:

Default preset 2015-2020 +0.0732R -> 2021-2026 +0.0707R Looser variant 2015-2020 +0.2507R -> 2021-2026 +0.2346R 41 configurations tested. 41 positive in the first period. 41 still positive in the second.

Curve-fitted settings fall apart when you do this. None of these did.

The same test showed one more thing worth telling you: backtest ranking does not predict future ranking. The correlation between the two periods is +0.08, which is nothing. More parameter hunting would only produce prettier backtests, so I stopped.

Four separate market periods

A single long backtest hides everything, so I cut the history into four disjoint stretches and required a positive result in each:

Period Market character Avg R per trade
2015–2017 Post-taper drift, low volatility +0.140 OK
2018–2020 Trade war, then COVID +0.022 OK, barely
2021–Sep 2023 Range-bound, rate hikes +0.034 OK
Oct 2023–Jun 2026 The big gold run +0.116 OK

Pooled: +0.0776R per trade across 547 trades, t = 2.32, 95% confidence interval +0.012 to +0.143.

That 2018 to 2020 number is honest and it's ugly. Three years of essentially standing still. Buy this in January 2018 and you'd have spent three years wondering why.

Rebuilt in the Strategy Tester

Python research is easy to fool, so I ran the compiled EA against live broker history, 2022-03 to 2026-07, $10,000 at 1:500: 195 trades, profit factor 1.403, maximum equity drawdown 2.43%. Different data, different engine, same conclusion.

Two presets, and the choice is real

The EA ships with two presets. They differ in one thing: how much room the exit gives a trade, and only two inputs change between them. You switch by typing two numbers, there are no files to load.

Balanced (default) Trend rider
InpTrailActivate 0.5 2.0
InpTrailMult 1.5 2.5
Avg R per trade +0.078 +0.123
Max drawdown, 0.5% risk 4.2% 8.8%
Max drawdown, 2% risk 16.5% 38.5%
Return per year, 2% risk 6.21% 6.63%
Periods positive 4 of 4 3 of 4

Trend rider earns more per trade and rides further. It also loses money in ranges: through 2021 to September 2023 it averages -0.123R a trade while the default makes +0.034R.

I looked for a setting between the two. Thirty-six combinations, only two stayed positive across all four periods, and neither beat the default on return against drawdown. This isn't a dial with a better spot on it, it's a fork.

Default for the flatter curve. Trend rider if you believe gold keeps trending and can sit through a range. Read the 2% row first.

Gold only, and I checked

I ran the same logic on EURUSD, GBPUSD, USDCAD, the dollar index, S&P 500, Nasdaq 100 and Bitcoin. The edge showed up on none of them, and four came out negative.

So don't buy this expecting a portfolio EA. It works on gold, and I'd rather say so now than let you find out in month three.

How much capital you need

Gold is expensive in small size right now. With gold near 4400 and H4 volatility around $40, the minimum 0.01 lot already risks about $100 on one trade.

Workable Comfortable
At 0.5% risk $10,000 $15,000+
At 1.0% risk $5,000 $8,000+
At 2.0% risk $2,500 $4,000+

Below that, the minimum lot forces more risk on you than you asked for. The EA won't let that happen quietly: it prints the equity you need when you attach it, and skips any trade where the smallest position would risk more than twice your chosen percentage. A cent account sidesteps this entirely, since the contract there is a hundredth the size.

Broker and account type

Best: Raw / ECN / Pro. Gold spread under 30 cents. The backtest assumes 25.

Fine: Standard. Spread up to about 50 cents barely registers, because stops are sized in volatility rather than pips. A 25-cent spread against a $100 stop is a quarter of one percent of the risk.

Avoid: brokers whose gold spread routinely passes $1, and anything with frequent requotes.

But swap matters more than spread here. Long gold carries a real overnight cost and this EA holds trades for days. It's in every number above.

Safety

  • Stop loss from the moment the order opens, sized from live volatility. No virtual stops.
  • No martingale, no grid, no averaging down. Ever.
  • One position at a time, with a cooldown after each close so it can't chain trades through chop.
  • Spread filter, and it logs how many signals it rejected.
  • Refuses to trade rather than quietly oversizing a small account.
  • Recovers its full state after a VPS reboot, trailing distance and entry volatility included.
  • Pre-trade checks for margin, volume limits, stops level and freeze level.
  • No DLL, no web requests, nothing leaves your terminal.

What to expect

Roughly four trades a month. Some months none.

Losing months come in runs. The longest flat stretch was three years, and most of the profit came from a handful of strong months. If a red quarter makes you switch an EA off, this one will frustrate you.

Win rate is under half. It makes money because winners run further than losers, not because it's right often.

There's an optional pyramiding mode, off by default. A buyer asked for it, I built it, and it lost money against the plain version. He pushed back and was half right: stacked on the trailing stop the ladder never gets room, but with the trail off it does earn in R. It still ends with less money at the same risk, and it turns the one bad period from -0.26R a trade into -0.81R. Full numbers are in the file header.

Past performance does not guarantee future results. Demo it for a month before committing money.

Quick setup

  1. Attach to a XAUUSD H4 chart. Not M5, not M15. Trailing and the cooldown follow the chart timeframe, and faster charts trail too tightly.
  2. Choose your preset. Balanced is the default and needs no changes. For Trend rider, set InpTrailActivate to 2.0 and InpTrailMult to 2.5. Nothing else differs between the two.
  3. Set InpRiskPct. Start at 0.5.
  4. Turn on Allow Algo Trading.
  5. Check the Experts tab. It prints the minimum equity your risk setting needs at current volatility. If it warns you there, fix that before going live.

Use a VPS. If the terminal is offline when a signal fires, the trade is gone.

Main settings

Parameter Default What it does
Risk per trade (%) 0.5 Equity risked per trade
Fixed lot 0.0 Above zero overrides risk sizing
Max hold time 0 Off. Timing trades out measured worse everywhere
Initial stop 2.5x Stop distance in volatility units
InpTrailActivate 0.5 Profit in volatility units before the trail engages. Set 2.0 for Trend rider
InpTrailMult 1.5 How far the stop follows, in volatility units. Set 2.5 for Trend rider
Max spread 500 pts Signals skipped above this, 0 disables
Max risk multiple 2.0 Skip if the minimum lot exceeds this multiple of your risk
Pyramiding false Optional, see above
Magic number 251004 Change if you run two EAs on gold

Updates and support

Every update goes through the full backtest suite before it ships, and I publish the numbers when they change. Buyers get all updates free, including the correction that produced this page.

Message me with your account size and broker and I'll tell you which preset and risk setting fit, or whether you're better off waiting until the account is larger.

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Shengzu Zhong
4.5 (4)
真實交易帳戶 — 實盤訊號 | IC MARKETS: https://www.mql5.com/en/signals/2339082 GoldWave Ultra 使用與上述 MQL5 已驗證實盤訊號相同的核心交易邏輯與執行框架。 當 EA 使用建議的最佳化設定,並運行於信譽良好的 ECN/RAW 點差經紀商( 例如 TMGM )時,其實盤交易行為旨在盡可能貼近實盤訊號所展示的交易結構、風險管理方式及執行特徵。 請注意,由於不同經紀商的報價、點差、滑點、執行速度、流動性、伺服器位置以及 VPS 環境存在差異,不同使用者的實際交易結果可能有所不同。 GoldWave Ultra 目前採取 嚴格限量銷售 — 僅剩 2 份,售價 USD 699 。 購買後,請透過私人訊息與我聯絡,以取得 完整使用者手冊及建議最佳化設定 。 不使用過度網格、不使用危險的馬丁格爾、不進行虧損加倉攤平。 GoldWave Ultra 目前處於早期限量發布階段,因此採用特別價格。未來價格可能根據銷售數量、開發進度、技術支援及維護階段逐步調整,本年度目標最高價格為 USD 1899 。 重要說明 GoldWave
Quantum Emperor MT5
Bogdan Ion Puscasu
4.84 (506)
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。
Dynamic Liquidity Intelligence
Sathit Sukhirun
4.44 (9)
Dynamic Liquidity Intelligence 是一款旨在分析市场结构并使用挂单执行交易的智能交易系统(EA)。系统会根据市场波动性计算近期的最高点和最低点,并在潜在的突破水平放置 Buy Stop 和 Sell Stop 挂单。 该 EA 独立管理每个仓位。它不使用网格(Grid)、马丁格尔(Martingale)或仓位均价摊薄(Averaging)策略。每一笔订单在执行时都带有严格预设的止损(Stop Loss)和止盈(Take Profit)。 实盘信号监控 Live Signal Fix 0.01 Live Signal $2000 (300=0.01) Live Signal $5000 (500=0.01) Live Signal $10000 (1000=0.01) 在此查看我的所有产品 仅剩 10 份,售价 550 美元。每售出 10 份,价格将上涨 50 美元。 推荐风险设置 保守 (Conservative): 每 $1,000 余额 0.01 手 稳健 (Moderate): 每 $500 余额 0.01 手 激进 (Aggressive): 每
Pulse Engine
Jimmy Peter Eriksson
4.06 (36)
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
Impulse MT5
Simon Reeves
5 (15)
Are you ready to power up your Gold trading? Impulse by Starpoint Trading — A six-strategy gold EA that waits for the perfect shot. Come chat with us in our public MQL5 channel!  https://www.mql5.com/en/channels/starpoint Read my analysis of Impulse compared to similar grid systems:  https://www.mql5.com/en/blogs/post/773192 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 e
Market Anomalies EA
Jimmy Peter Eriksson
4.94 (18)
最新消息:数量有限,售完即止! 并非旨在进行完美的直线型虚假回测。 专为实际长期交易而设计。 不使用马丁格尔策略 / 不使用网格策略 / 不使用废话 实时结果:  实时信号  |  主要投资组合  |   FTMO 结果  |  公共社区 房地产公司准备就绪! 什么是市场异常EA? 市场异常EA专为 美元/日元 交易设计 ,并适用于 MT5 平台。 它采用多策略方法,运用突破逻辑捕捉当日主要价格走势,并结合日内价格形态进行交易。 该系统不基于指标或固定时间范围,并且使用最小的优化来减少曲线拟合。 在竞争激烈的 MQL5 市场中,大多数系统都专注于黄金 (XAUUSD),而基于 USDJPY 的策略可以成为提高交易组合多元化程度的一种非常实用的方法。 该系统已使用 15 年的高质量历史价格数据进行测试,并在 MQL5 上发布前进行了 15 个月的实盘交易。 加入社区! 请私信 我 并附上购买凭证,即可获得加入我们私人社区的邀请。 设置 该系统即插即用, 设计人性化,操作简便。 只需将EA附加到图表上,然后选择风险等级( 低/中/高 )。 设置完成后,系统即可运行。 安装指南
Sentinel MT5
Luca Barone
4.95 (39)
Sentinel MT5 is an automated Expert Advisor designed with a strong focus on risk control, capital preservation, and stable execution. The EA operates with discipline and consistency, avoiding aggressive exposure and adapting its behavior during unfavorable market conditions . Sentinel MT5 prioritizes account stability over high-frequency or high-risk trading and does not force entries when market conditions are not suitable. It features automated position management, built-in margin and drawdown
Prop Firm Gold EA
Jimmy Peter Eriksson
4.59 (34)
专为应对黄金(XAUUSD)自营交易挑战而打造 简易  即插即用设置 无风险马丁格尔/网格 实时信号  |    FTMO 结果  |  公共社区 警告 :现价库存极少!最终价格: 999美元 策略 Prop Firm Gold EA 是一款专为 MT5 平台上的黄金 (XAUUSD) 设计的多策略交易系统。 该系统融合了多种逻辑,利用突破概念捕捉日内主导走势,并结合日内价格形态进行交易。 这使其能够适应不同的日内市场状况,而非依赖单一的交易设置。 该策略不依赖于指标或固定时间框架,并采用极简优化来减少曲线拟合,从而提高稳健性。Prop Firm Gold EA 旨在作为多元化交易组合的一部分发挥作用。其专注于日内交易的逻辑使其能够与其他采用不同策略的系统结合使用。 该系统已在超过 15 年的高质量历史价格数据上进行了测试,并在 MQL5 平台发布前进行了 15 个月的实盘交易。 房地产公司准备就绪 内置随机化功能 会对入场和出场进行轻微的随机化处理,以确保与其他用户相比,交易具有独特性。 每日回撤保护 可保护您的账户免受自营交易公司(FTMO 等)使用的日内每
Gold Beaver
Arnold Bobrinskii
5 (3)
GOLD BEAVER MT5 — XAUUSD EA 一键设置。将其拖到 XAUUSD M1 图表上即可交易。默认参数即可使用,无需调整。 非高频交易(HFT)。无需低延迟连接。交易在 M15 边界 K 线上评估,因此使用 OHLC 测试即可。 12 种可选策略,使用独立于 MT5 测试器的自研 JIT 编译 Python 研究引擎开发。它们没有人工调参,也没有过度拟合,并在 2020 至 2026 年的多个市场周期中进行了评估。 无马丁格尔。无网格。无短止损技巧。每个仓位开仓时即附带止损。 实盘表现: 实盘信号    加入社区! 公开社区: 点击这里。   Click Here to join channel 主要功能 一个 EA 集成 12 种策略 — 下拉列表中标注 CONS / BAL / AGG 配置 基于研究开发 — 源自数千次 Python 扫描,而非凭直觉 实时 Strategy Rank 面板 — 在您自己的经纪商上按 7 / 14 / 30 天比较全部 12 种模式,一键切换 资金曲线查看器 — 在弹出窗口中显示每种模式的余额曲线 实时仪表板 — 余额、当日以美元
SixtyNine EA
Farzad Saadatinia
4.43 (7)
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: $399 → 下一阶段: $699 → 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
Bitcoin Scalping MT5
Lo Thi Mai Loan
5 (5)
[ IMPORTANT ] REAL CLIENT FEEDBACK :  https://www.mql5.com/en/market/product/127498/comments#comment_58814415 [ IMPORTANT ]  UPDATED (1 YEAR PERFORMANCE):  https://www.mql5.com/en/market/product/127498/comments#comment_59233853 [ IMPORTANT ]  UPDATED (1 YEAR 6 MONTHS PERFORMANCE):  https://www.mql5.com/en/market/product/127498/comments#comment_60000067 [ IMPORTANT ]  UPDATED  (2026/09):  https://www.mql5.com/en/market/product/127498/comments/page2#comment_60389797 介绍 Bitcoin Scalping MT4/MT5 –
Iron Stops
Fajar Dicky Firmansyah
4.01 (73)
100K Real Signal:  https://www.mql5.com/en/signals/2386516 没有噱头。没有空洞的承诺。 Iron Stops 迎合关注一个关键方面的交易者:一致性。无论您是正在进行 道具挑战 还是管理客户资金,这款 EA 都能保持在设定的界限内并提供可靠的结果。 仓位在 36 小时 内平仓。 在单一图表上运行: 只需将其应用于 XAUUSD,使用 M30 时间框架。这就是您所需要的。一个图表。一个强大的工具。 正确的配置对准确回测至关重要! 请联系我获取我的 .ini 文件 和详细说明。 注意: 这款 EA 目前的价格是 580。一旦购买 30 个许可证,价格将提高到 629。目前,已有 29 份已售出。在价格变动之前不要错过。 博客 链接 =  https://www.mql5.com/en/blogs/post/763583 频道 链接 =  https://www.mql5.com/en/channels/mqltradingfajar 给我发消息,我会给您发送一份 试用 包,供您在模拟账户中使用。 主要优点 免费赠品:买一送二!
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This indicator presents an alternative approach to identify Market Structure. The logic used is derived from learning material created by   DaveTeaches (on X) Upgrade v1.10: add option to put protected high/low value to buffer (figure 11, 12) When quantifying Market Structure, it is common to use fractal highs and lows to identify "significant" swing pivots. When price closes through these pivots, we may identify a Market Structure Shift (MSS) for reversals or a Break of Structure (BOS) for co
Bheurekso Pattern with Alert
Minh Truong Pham
2 (1)
The Bheurekso Pattern Indicator for MT5 helps traders automatically identify candlestick pattern that formed on the chart base on some japanese candle pattern and other indicator to improve accurate. This indicator scans all candles, recognizes and then displays any candle patterns formed on the chart. The candle displayed can be Bullish or Bearish Engulfing, Bullish or Bearish Harami, and so on. There are some free version now but almost that is repaint and lack off alert function. With this ve
This script automatically calculates and updates ICT's daily IPDA look back time intervals and their respective discount / equilibrium / premium, so you don't have to :) IPDA stands for Interbank Price Delivery Algorithm. Said algorithm appears to be referencing the past 20, 40, and 60 days intervals as points of reference to define ranges and related PD arrays. Intraday traders can find most value in the 20 Day Look Back box, by observing imbalances and points of interest. Longer term traders c
This is addition of  Effective SV squeeze momentum  that add bolliger band and Keltner channel to chart window.  Squeeze momentum introduced by “John Carter”, the squeeze indicator for MT5 represents a volatility-based tool. Regardless, we can also consider the squeeze indicator as a momentum indicator, as many traders use it to identify the direction and strength of price moves. In fact, the Tradingview  squeeze indicator shows when a financial instrument is willing to change from a trending ma
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This is a Forex Scalping Trading Sytem based on the Bollinger Bands.  Pairs:Major Time frame: 1M or higher. Spread max:0,0001.  Indicators (just suggestion) Bollinger bands (20, 2); ADX (14 period); RSI   (7 period ). Y ou should only trade this system between 2am to 5am EST, 8am to 12am EST and 7.30pm to 10pm EST. Do not scalp 30 minutes before a orange or red news  report and not for a hour afterwards.   Setup: is for price to move above the lower or lower Bollinger Bands, RSI raise above the
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The liquidity swings indicator highlights swing areas with existent trading activity. The number of times price revisited a swing area is highlighted by a zone delimiting the swing areas. Additionally, the accumulated volume within swing areas is highlighted by labels on the chart. An option to filter out swing areas with volume/counts not reaching a user-set threshold is also included. This indicator by its very nature is not real-time and is meant for descriptive analysis alongside other com
The Breaker Blocks with Signals indicator aims to highlight a complete methodology based on breaker blocks. Breakout signals between the price and breaker blocks are highlighted and premium/discount swing levels are included to provide potential take profit/stop loss levels. This script also includes alerts for each signal highlighted.   SETTINGS   Breaker Blocks Length: Sensitivity of the detected swings used to construct breaker blocks. Higher values will return longer term break
OVERVIEW K-means is a clustering algorithm commonly used in machine learning to group data points into distinct clusters based on their similarities. While K-means is not typically used directly for identifying support and resistance levels in financial markets, it can serve as a tool in a broader analysis approach. Support and resistance levels are price levels in financial markets where the price tends to react or reverse. Support is a level where the price tends to stop falling and m
All about Smart Money Concepts Strategy: Market struture: internal or swing BOS, CHoCH; Orderblock; Liquity equal; Fair Value Gap with Consequent encroachment, Balanced price range; Level with Previous month, week, day level or in day level (PMH, PWH, PDH, HOD); BuySell Stops Liquidity (BSL, SSL); Liquidity Void Long Wicks; Premium and Discount; Candle pattern ... "Smart Money Concepts" ( SMC ) is a fairly new yet widely used term amongst price action traders looking to more accurately navigate
The indicator   returning pivot point based trendlines with highlighted breakouts . Trendline caculated by pivot point and other clue are ATR, Stdev.   The indicator also includes integrated alerts for  trendlines  breakouts   and foward message to Telegram channel or group if you want. Settings ·            Lookback bar: Default 200 is number of bar caculate when init indicator. ·            Length:  Pivot points  period ·            Slope Calculation Method: Determines how this lope is calcula
This all-in-one indicator displays real-time market structure (internal & swing BOS / CHoCH), order blocks, premium & discount zones, equal highs & lows, and much more...allowing traders to automatically mark up their charts with widely used price action methodologies. Following the release of our Fair Value Gap script, we received numerous requests from our community to release more features in the same category. //------------------------------------// Version 1.x has missing functions + PDAr
Breaker Blocks with Signals
Minh Truong Pham
3 (2)
The Breaker Blocks with Signals indicator aims to highlight a complete methodology based on breaker blocks. Breakout signals between the price and breaker blocks are highlighted and premium/discount swing levels are included to provide potential take profit/stop loss levels. This script also includes alerts for each signal highlighted.   SETTINGS   Breaker Blocks Length: Sensitivity of the detected swings used to construct breaker blocks. Higher values will return longer term break
ICT Concepts in MT4
Minh Truong Pham
The ICT Concepts indicator regroups core concepts highlighted by trader and educator "The Inner Circle Trader" (ICT) into an all-in-one toolkit. Features include Market Structure (MSS & BOS), Order Blocks, Imbalances, Buyside/Sellside Liquidity, Displacements, ICT Killzones, and New Week/Day Opening Gaps. It’s one kind of Smart money concepts.   USAGE:   Please read this   document  !      DETAILS Market Structure Market structure labels are constructed from price breaking a prior extreme
The FollowLine indicator is a trend following indicator. The blue/red lines are activated when the price closes above the upper Bollinger band or below the lower one. Once the trigger of the trend direction is made, the FollowLine will be placed at High or Low (depending of the trend). An ATR filter can be selected to place the line at a more distance level than the normal mode settled at candles Highs/Lows. Some features: + Trend detech + Reversal signal + Alert teminar / mobile app
The ICT Silver Bullet indicator is inspired from the lectures of "The Inner Circle Trader" (ICT) and highlights the Silver Bullet (SB) window which is a specific 1-hour interval where a Fair Value Gap (FVG) pattern can be formed. A detail document about ICT Silver Bullet here . There are 3 different Silver Bullet windows (New York local time): The London Open Silver Bullet (3 AM — 4 AM ~ 03:00 — 04:00) The AM Session Silver Bullet (10 AM — 11 AM ~ 10:00 — 11:00) The PM Session Silver Bullet (2
Sessions by Lux
Minh Truong Pham
This indicator shows when user set sessions are active and returns various tools + metrics using the closing price within active sessions as an input. Users have the option to change up to 4 session times. The indicator will increasingly lack accuracy when the chart timeframe is higher than 1 hour. Settings Sessions Enable Session: Allows to enable or disable all associated elements with a specific user set session. Session Time: Opening and closing times of the user set session in the  
Liquidity Swings
Minh Truong Pham
The liquidity swings indicator highlights swing areas with existent trading activity. The number of times price revisited a swing area is highlighted by a zone delimiting the swing areas. Additionally, the accumulated volume within swing areas is highlighted by labels on the chart. An option to filter out swing areas with volume/counts not reaching a user-set threshold is also included. This indicator by its very nature is not real-time and is meant for descriptive analysis alongside other com
The SuperTrend AI indicator is a novel take on bridging the gap between the K-means clustering machine learning method & technical indicators. In this case, we apply K-Means clustering to the famous SuperTrend indicator.   USAGE Users can interpret the SuperTrend AI trailing stop similarly to the regular SuperTrend indicator. Using higher minimum/maximum factors will return longer-term signals. (image 1) The displayed performance metrics displayed on each signal allow for a deeper interpretat
OVERVIEW A Lorentzian Distance Classifier (LDC) is a Machine Learning classification algorithm capable of categorizing historical data from a multi-dimensional feature space. This indicator demonstrates how Lorentzian Classification can also be used to predict the direction of future price movements when used as the distance metric for a novel implementation of an Approximate Nearest Neighbors (ANN) algorithm. This indicator provide signal as buffer, so very easy for create EA from this indi
An Implied Fair Value Gap (IFVG) is a three candles imbalance formation conceptualized by ICT that is based on detecting a larger candle body & then measuring the average between the two adjacent candle shadows. This indicator automatically detects this imbalance formation on your charts and can be extended by a user set number of bars. The IFVG average can also be extended until a new respective IFVG is detected, serving as a support/resistance line. Alerts for the detection of bullish/be
Consolidation is when price is moving inside a clear trading range. When prices are consolidated it shows the market maker placing orders on both sides of the market. This is mainly due to manipulate the un informed money. This indicator automatically identifies consolidation zones and plots them on the chart. The method of determining consolidation zones is based on pivot points and ATR, ensuring precise identification. The indicator also sends alert notifications to users when a new consolida
Wyckoff sweep and order block detector I got tired of marking the same structure by hand every morning, so I wrote this. It looks for one thing only: the Wyckoff sequence that ends with a liquidity sweep and a pullback into the order block that started the move. When all the pieces line up, it draws them and tells you. That's the whole job. It doesn't predict, it doesn't score setups out of ten, and it won't tell you how much to risk. It marks structure that's already there and saves you the ey
Created by imjesstwoone and mickey1984, this trade model attempts to capture the expansion from the 10:00-14:00 EST 4h candle using just 3 simple steps. All of the information presented in this description has been outlined by its creators, all I did was translate it to MQL4. All core settings of the trade model may be edited so that users can test several variations, however this description will cover its default, intended behavior using NQ 5m as an example. Step 1 is to identify our Price Ra
The Buyside & Sellside Liquidity indicator aims to detect & highlight the first and arguably most important concept within the ICT trading methodology,   Liquidity   levels. SETTINGS Liquidity Levels Detection Length: Lookback period Margin: Sets margin/sensitivity for a liquidity level detection Liquidity Zones Buyside Liquidity Zones: Enables display of the buyside liquidity zones. Margin: Sets margin/sensitivity for the liquidity zone boundaries. Color: Color option for buysid
The   Liquidation Estimates (Real-Time)   experimental indicator attempts to highlight real-time long and short liquidations on all timeframes. Here with liquidations, we refer to the process of forcibly closing a trader's position in the market. By analyzing liquidation data, traders can gauge market sentiment, identify potential support and resistance levels, identify potential trend reversals, and make informed decisions about entry and exit points. USAGE (Img 1)    Liquidation refers
The   ICT Unicorn Model   indicator highlights the presence of "unicorn" patterns on the user's chart which is derived from the lectures of   "The Inner Circle Trader" (ICT) . Detected patterns are followed by targets with a distance controlled by the user.   USAGE (image 2) At its core, the ICT Unicorn Model relies on two popular concepts, Fair Value Gaps and Breaker Blocks. This combination highlights a future area of support/resistance. A   Bullish Unicorn Pattern   consists out of:
Inversion Fair Value Gaps MT4
Minh Truong Pham
4.5 (2)
The Inversion Fair Value Gaps (IFVG) indicator is based on the inversion FVG concept by ICT and provides support and resistance zones based on mitigated Fair Value Gaps (FVGs). Image 1   USAGE Once mitigation of an FVG occurs, we detect the zone as an "Inverted FVG". This would now be looked upon for potential support or resistance. Mitigation occurs when the price closes above or below the FVG area in the opposite direction of its bias. (Image 2) Inverted Bullish FVGs Turn into Potenti
Overview The   Volume SuperTrend AI   is an advanced technical indicator used to predict trends in price movements by utilizing a combination of traditional SuperTrend calculation and AI techniques, particularly the k-nearest neighbors (KNN) algorithm. The Volume SuperTrend AI is designed to provide traders with insights into potential market trends, using both volume-weighted moving averages (VWMA) and the k-nearest neighbors (KNN) algorithm. By combining these approaches, the indicator
Introducing the Reversal and Breakout Signals   This innovative tool is crafted to enhance your chart analysis by identifying potential reversal and breakout opportunities directly on your charts. It's designed with both novice and experienced traders in mind, providing intuitive visual cues for better decision-making. Let's dive into the key features and how it operates: ###   Key Features:   Dynamic Period Settings:   Customize the sensitivity of the indicator with user-def
Introduction One of the patterns in "RTM" is the "QM" pattern, also known as "Quasimodo". Its name is derived from the appearance of "Hunchback of Notre-Dame" from Victor Hugo's novel. It is a type of "Head and Shoulders" pattern.   Formation Method   Upward Trend In an upward trend, the left shoulder is formed, and the price creates a new peak higher than the left shoulder peak . After a decline, it manages to break the previous low and move upward again. We expect the price to
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