HiveMind Portfolio

HiveMind Portfolio — four strategies, sixteen setups, one EA.

Four separate strategies are hardcoded into the program: no set files to import, no external configuration, nothing to maintain. They trade independently of one another across eight markets, and the entire portfolio runs from a single chart, operated through an interactive dashboard.

What this portfolio is trying to do is spread its returns rather than maximise them. A range breakout needs volatility. A weekly index position needs time. A volatility trigger needs neither a session nor a trend. A support/resistance breakout needs a level to hold and then give way. Because they ask for different conditions, they rarely go quiet at the same moment, and no single market condition decides how the account develops.

  • No martingale, no grid, no averaging down
  • Every position carries a stop loss from the moment it exists
  • Risk is defined per setup, and every setup can be switched off
  • One chart, one instance — the EA trades the entire portfolio from there
  • Every entry, every refusal and every reason reported in the journal

Curious about live, verified results? Check out my MQL5 signal page.

The four strategies

Modular Range Breakout

Measures a range and trades the break of it. The most broadly applicable of the four, so it carries the most weight here. Available separately.

ATR Pulse Engine

A volatility trigger instead of a clock. It waits for a candle genuinely larger than current volatility, which puts it to work at moments the time-based setups are not looking at. Available separately.

Turn Around Tuesday

An alternative approach to the Turn Around Tuesday concept: a weekly position on the indices, opened and closed on fixed weekdays and held through the middle of the week. A different holding period spreads the portfolio across time as well as across markets.

SR Breakout System

Trades the break of a longer-term support or resistance level rather than an intraday range, holding a position for as long as the level stays valid instead of closing it the same day. A different definition of "level" and a longer horizon give it its own rhythm, adding a fourth, structurally different source of trades to the portfolio.

The strategies that offer more than one usable configuration are split into smaller setups instead of run as one, each with its own timing and character. None of them is large enough on its own to dominate the account line. The Turn Around Tuesday setups are long only, following the upward drift of those markets; the large majority of the portfolio trades long and short without preference.

Sixteen setups would be unworkable as a flat list of inputs, so the dashboard is how you actually operate this EA. Setups go on and off while it runs, risk is adjusted per setup, the portfolio can be filtered by strategy or by symbol, and the charts of an entire strategy open or close in a single click. Nothing needs a restart.

Finding your way around the menu

The setup list

The heart of it. Every setup appears with a switch: turn one off and it stops trading, turn it back on and it resumes. Open a setup and you can set its magic number, its risk and its risk mode on the spot — or, for a Turn Around Tuesday setup, its exposure and its stop loss. No inputs, no restart.

Two filter rows

One for strategy and one for symbol, sitting above the list. They work on separate axes and your selection is the intersection of the two. Pick Modular Range Breakout and XAUUSD and you have exactly the gold breakout setups — not everything on gold, and not every breakout setup. Each row has its own "All" to clear or fill that axis in one click.

Open Selected and Close All Charts

Open Selected opens a chart for every setup in your current selection, and Close All Charts clears them again. Together they let you page through your setups quickly: open a strategy, look at each chart, close them. Every opened chart carries the key information for that setup on it, so you can see what it is doing without going back to the menu.

Performance

Reports realised results per period, scoped to whatever you have selected — one setup, one strategy, one symbol, or the whole portfolio.

Account Protection

Everything that applies to the account rather than to a single setup: a maximum total drawdown that blocks new entries, a daily drawdown limit that closes what is open, a profit target that closes everything once it is genuinely reached (spread and commission included), the news filter, and prop firm mode. Each can be measured against a fixed starting balance or a trailing equity high, and each can be left switched off. Your choices survive a timeframe switch, a recompile and a terminal restart.

Getting started

Deliberately simple. Attach the EA to one chart and that is all. Every other chart on your terminal may be closed — the chart the menu sits on is only a host, and has nothing to do with what the EA trades or when. It does not matter which symbol or timeframe you choose, though EURUSD is recommended simply because it is the most consistently quoted symbol at almost every broker, which keeps the menu responsive at all hours.

What runs where, and at what risk

Every setup is listed below with its magic number and the risk it carries, so you can see what a single setup can do to your account before you switch it on.

Symbol Magic Strategy Risk per trade Risk per trade in backtest reports Frequency
XAUUSD 123 Modular Range Breakout 1.00% of equity $100 fixed max. 1 per setup per day
XAUUSD 234 ATR Pulse Engine 0.30% of equity $30 fixed signal driven
XAUUSD 45601 SR Breakout System 0.80% of equity $80 fixed one position at a time
XAUUSD 45602 SR Breakout System 0.90% of equity $90 fixed one position at a time
US30 345 Turn Around Tuesday 55% exposure, stop loss 6% of entry price 55% exposure 1 position per week
EURJPY 123 Modular Range Breakout 0.25% of equity $25 fixed max. 1 per setup per day
EURJPY 1234 Modular Range Breakout 0.50% of equity $50 fixed max. 1 per setup per day
GBPUSD 123 Modular Range Breakout 0.50% of equity $50 fixed max. 1 per setup per day
USDJPY 123 Modular Range Breakout 0.50% of equity $50 fixed max. 1 per setup per day
USDJPY 1234 Modular Range Breakout 0.40% of equity $40 fixed max. 1 per setup per day
DE40 345 Turn Around Tuesday 55% exposure, stop loss 6% of entry price 55% exposure 1 position per week
USTEC 345 Turn Around Tuesday 55% exposure, stop loss 8% of entry price 55% exposure 1 position per week
BTCUSD 123 Modular Range Breakout 0.40% of equity $40 fixed max. 1 per setup per day
BTCUSD 1234 Modular Range Breakout 0.40% of equity $40 fixed max. 1 per setup per day
BTCUSD 12345 Modular Range Breakout 0.25% of equity $25 fixed max. 1 per setup per day
BTCUSD 234 ATR Pulse Engine 0.50% of equity $50 fixed signal driven

The Modular Range Breakout, ATR Pulse Engine and SR Breakout System setups size their position from a percentage of equity, so the risk figure above is what a losing trade costs you. Each of these setups holds one position at a time, which means your total exposure is capped by the number of setups you have switched on.

How exposure sizing works, and why Turn Around Tuesday uses it

The three Turn Around Tuesday setups are sized differently, and it is worth understanding that before you switch them on. They do not work from a risk percentage but from an exposure percentage: at 55% exposure the setup buys a position worth 55% of your equity. On a $10,000 account that is $5,500 of the index — which is the size of the position, not the amount at risk.

What you can actually lose is bounded by the stop loss. A stop 6% below the entry price on a position worth 55% of the account costs roughly 3.3% of that account if it is hit. The stop sits that far away by design: a weekly position has to sit through several days of noise, and a stop tight enough to define the risk to the decimal would be taken out by that noise long before the week is over. The distances differ per index because the indices themselves differ in how much they move in a week.

Two practical consequences. Because the position is a share of your equity, these setups scale with the account automatically and therefore compound, where the percentage-risk setups in the backtest reports do not — which is why the Turn Around Tuesday curves on this page are labelled separately. And because they hold a position from Monday into midweek, all three indices are in the market at the same time; the exposure figure is per setup, so running all three means holding index positions worth more than your equity over a weekday night. Both the exposure and the stop loss are adjustable per setup from the dashboard.

Live trading uses the figures in the third column. The backtest reports on this page use the fixed dollar amounts in the fourth column instead — each setup's percentage applied once to the $10,000 starting balance, rather than recalculated every trade as equity grows. Over a multi-year compounded test, percentage-based sizing runs into minimum and maximum lot-size limits and quietly distorts the later part of the curve; a fixed amount does not. The Turn Around Tuesday setups are the exception, because exposure sizing has no fixed-amount equivalent: those reports run at the same 55% they trade at live. Every figure is an input and can be changed live from the dashboard.

What you can see, and what you cannot

What is published about each setup is a deliberate choice rather than simply everything there is. For every setup you can see which market it trades, roughly when to expect a position, the risk it takes, and — where the strategy works that way — how many positions it can open in a day. That is what you need in order to know when a setup will be active and what it can do to your account.

The full configuration is not published. Filters and mechanisms sit behind each setup and decide whether it acts at all on a given day, and those are not listed here. 

What is reported in full is what actually happens. Every setup announces itself at startup, and every entry and every refusal reaches the journal with its reason, so you can always verify what the portfolio did and why — even where you cannot see how it decided.

Backtest results

Test conditions:

  • Historical tick data: Dukascopy
  • Test period: 01-01-2016 to 01-01-2026 (BTCUSD: 2018–2026, limited by available data)
  • Starting balance: $10,000
  • Risk per trade exactly as listed in the "Risk per trade in backtest reports" column above, for setups, strategy combinations and symbol/portfolio totals alike
  • Commissions and spread set to standard broker rates within the test environment

Results are based on historical data and do not guarantee future performance. Individual setups will go through extended flat or losing stretches — that is expected, and it is exactly why there are sixteen of them rather than one.

Enabling the news filter (required setup)

The news filter retrieves the live economic calendar, so WebRequest access has to be enabled or it stays inactive:

  1. Go to Tools → Options
  2. Open the Expert Advisors tab
  3. Enable "Allow WebRequest for listed URL"
  4. Add: https://nfs.faireconomy.media

WebRequest does not work inside the Strategy Tester, so the news filter is disabled automatically during backtests.

A hedging account is recommended

On a hedging account each setup holds its own position, which is how the portfolio is designed to work. A netting account keeps only one position per symbol, so setups sharing a symbol would interfere with each other. The EA detects this at startup and, on a netting account, keeps only the first setup per symbol active and reports which ones it disabled. It runs safely either way, but a hedging account is needed to use the full portfolio.

Broker symbol names

Brokers name the same instrument differently — US30, US30.cash, DJ30. The EA resolves each setup to the matching symbol at your broker automatically, preferring whatever is in your Market Watch. If a symbol genuinely does not exist there, that setup is disabled with a clear message instead of failing silently.

Magic numbers

Every setup has its own magic number so its trades are never confused with another's. They are listed in the table above, shown in the setup list and in every journal line, and can be changed per setup if they clash with another EA on the same account.

Resetting the equity-trailing-high reference

Using a trailing equity high as your protection reference? That value is stored in a terminal Global Variable so it survives a restart, which means it can go stale after a withdrawal. To reset: press F3, find the equity-high variable for this EA, and delete it. It reinitialises from your current equity.

Nothing fails silently

Every setup reports itself in the Experts tab when the EA starts: which ones are active, at what risk, and why any of them is not. When a trade is blocked, the reason is logged. You will never be left wondering why nothing is happening.

Execution and VPS

The Modular Range Breakout and SR Breakout System setups place stop orders, so the broker watches the levels rather than the EA. The other strategies enter at market. Either way, stable execution matters across a portfolio of this size: a VPS and a broker with low costs and fast execution are strongly recommended.

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NEXORION: Initium Novum — 确定性逻辑与算法综合体系 NEXORION 是一款基于严密流动性处理数学算法的机构级分析系统。该项目的核心理念是“计算透明化”:交易型 EA 将混沌的价格流转化为结构化的几何区域,并将决策过程直接在交易图表上进行可视化呈现。 实时信号监控 https://www.mql5.com/en/signals/2378408 系统技术规格 交易资产 :XAUUSD (黄金) 运行周期 :H1 (1小时图) 核心方法论 :机构流动性分析与确定性逻辑 (Institutional Liquidity Analysis & Deterministic Logic) 决策依据 :流动性池与平衡水平的数学计算 数学架构与可视化 本系统的关键创新在于 动态计算映射 (Dynamic Computation Mapping) 。算法不仅是分析价格,更是通过以下模块构建市场的数学模型: 流动性追踪 (Liquidity Tracking) :基于市场阶段的深度分析,精确识别买方流动性 (BSL) 与卖方流动性 (SSL) 区域。 平衡态分析 (Equilib
Harmonizer EA MT5
Amir Hossein Moharreri
4.55 (11)
Harmonizer EA 是一款强大的网格交易工具,使用先进算法计算每笔交易的入场位置。它并非针对历史数据过度优化,而是利用市场波动率进行自我优化。通过使用市场波动率,该算法能够快速高效地适应市场变化。这意味着它既能够抓住市场机会,又能够在预设参数范围内有效控制风险。 不过,使用此 EA 时请务必谨慎,并且只投入您能够承受风险的资金。我们建议您先进行历史回测,并尝试不同设置,以找到最适合您的参数。 实时表现 推荐交易品种:AUDCAD、NZDCAD(AUDNZD 可选) 推荐时间周期:M15(15分钟图表) MT4 版本 功能特点 比类似 EA 更便宜且更优秀 支持多个交易品种 单图表设置 实盘与回测新闻过滤器 实时性能监控 未针对历史数据过度优化 不局限于特定品种 开发者支持 使用要求 对冲账户 对点差不敏感,但建议使用 ECN 账户 在 VPS 上持续运行(确保交易不中断) 杠杆 1:200 或更高 推荐设置 将 EA 挂载到 AUDCAD 的一个 15 分钟(M15)图表上,建议至少使用 500 美元启动。不过,为了降低风险,建议从 1500 美元开始。不需要 .set 文件。
Fantastic 4 MT5
Fan Yang
3.67 (3)
Fantastic 4 Eleven-in-One Trading System Introduction Fantastic 4 is an automated trading EA integrating 11 mutually independent quantitative trading logics targeting XAUUSD. After long-term research, iterative optimization, historical backtesting and live market verification, each built-in strategy has exclusive entry rules, independent order management and customized risk control modules. All strategies run separately without mutual interference. The combination of four strategies with low cor
Short description Counter-trend EA for AUDCAD/AUDNZD/NZDCAD. Low-risk mean reversion with controlled martingale and funding-account presets. Live monitoring Signal: https://www.mql5.com/en/signals/2257448 What it is A counter-trend mean-reversion Expert Advisor designed to produce steady monthly returns under conservative risk. Built for traders who prioritize capital protection (including funding account rules) and prefer transparent, testable logic. How it trades Entry logic: Sells/buys sho
SentinelAI MT5
Valeriia Mishchenko
4 (2)
No losing months since August 2019, with a 2.04% monthly gain: Live performance MT 4 version can be found here Sentinel AI is fully automated trading system is built for major forex pairs such as EURUSD and GBPUSD on the M5 timeframe. By combining price action and mean reversion principles with advanced AI-driven analytics, it is designed to identify potential trend reversals and exploit market inefficiencies with greater accuracy and efficiency. Supported currency pairs: EURUSD, GBPUSD Timefram
EA Legendary Scalper MT5
Ruslan Pishun
4.33 (6)
For more information, please contact us via private message or in  the mql5 group. THERE   ARE   ONLY  6   OUT   OF   10   COPIES   LEFT   AT   A   PRICE   OF   920   USD ! AFTER   THAT , THE   PRICE   WILL   BE   INCREASED   TO  1420   USD . Imagine that you have an experienced trader who monitors the market every day, waits for the price to break through an important level, and instantly opens a deal. That's exactly what this advisor does. He does not guess, but acts only when the market giv
Big Forex Players MT5
MQL TOOLS SL
4.76 (141)
We proudly present our cutting-edge robot, the  Big Forex Players EA  designed to maximize your trading potential, minimize emotional trading, and make smarter decisions powered by cutting-edge technology. The whole system in this EA took us many months to build, and then we spent a lot of time testing it. This unique EA includes three distinct strategies that can be used independently or in together. The robot receives the positions of the  biggest Banks  (positions are sent from our database t
XIRO Robot MT5
MQL TOOLS SL
5 (35)
XIRO Robot is a professional trading system created to operate on two of the most popular and liquid instruments on the market:  GBPUSD, XAUUSD and BTCUSD . We combined two proven and well tested systems, enhanced them with multiple new improvements, optimizations and additional protective mechanisms, and integrated everything into one advanced and unified solution. As a result of this development process, XIRO Robot was created. Robot was designed for traders who are looking for a reliable and
XT Bitcoin Robot MT5
MQL TOOLS SL
4.6 (5)
XT Bitcoin Robot is an advanced  automated trading system  designed specifically for  BTCUSD traders  who want to take advantage of Bitcoin's market volatility without the need for constant market monitoring. The robot continuously analyzes market conditions and automatically executes trades based on its built in trading logic, helping traders stay active in the market 24 hours a day without manual intervention. The system is designed to identify trading opportunities and manage positions accor
AI Prop Firms MT5
MQL TOOLS SL
4.06 (17)
AI Prop Firms - Intelligent Automation Built for Prop Trading Firms . AI Prop Firms is an advanced fully automated Forex trading system powered by Artificial Intelligence , developed specifically to operate within the strict rules and evaluation models of prop trading firms. The system is designed to trade under controlled risk conditions while maintaining consistency , stability, and compliance with prop firm requirements. AI Prop Firms uses intelligent market analysis logic that continuously
Golden Conqueror
Taner Altinsoy
5 (1)
Welcome to Golden Conqueror , a highly advanced, fully automated active scalping algorithmic system designed exclusively for Gold (XAUUSD) . Built with institutional logic, this EA strictly avoids dangerous grid or martingale systems. Instead, it utilizes high-precision Pivot Breakouts to exploit market momentum and volume surges. To ensure absolute risk mitigation and capital protection, the algorithm strictly limits itself to a maximum of 1 open trade at a time . Furthermore, every single exe
Apex Drawdown Zero
Tshivhidzo Moss Mbedzi
Apex Drawdown Zero Apex Drawdown EA V9.20 is a fully automated Expert Advisor for MetaTrader 5. It is designed for selective trading on XAUUSD, EURUSD and EURJPY using the H1 timeframe. The EA evaluates market conditions, volatility, price behaviour, trading hours and broker conditions before considering an entry. When the required conditions are not present, the EA remains inactive. The exact entry logic and internal calculations are proprietary. PRICE RISES EVERY 10 SALES:         Current pri
DAX Robot MT5
MQL TOOLS SL
5 (3)
DAX Robot is an advanced automated trading system developed specifically for the DAX 40 Index on the H1 timeframe. Designed to handle the fast paced nature of one of Europe's most actively traded indices , the robot continuously analyzes market conditions and automatically executes trades based on its built in trading logic. The system focuses on identifying high probability trading opportunities by combining trend analysis, market momentum, and volatility based conditions. DAX Robot is designe
The Forex Exchanger MT5
Fabio Cavalloni
5 (6)
All explainations about the strategy:  https://www.mql5.com/en/blogs/post/747470 Live signals:  Main account:  https://www.mql5.com/en/signals/1416185 Second account:  https://www.mql5.com/en/signals/2111323 Here I will explain only the EA inputs part. This EA will be consistently updated with new and unpredictable things that can bring its performance to a better level every day! Buying this EA you will not only got a powerful automatic trading system, but also all knowledge and experience I'v
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Modular Range Breakout EA
Lucas Johannes Martinus Vercoulen
Modular Range Breakout — a range breakout strategy, with the work put into everything around the entry. The EA measures a range between a start and an end time, places a stop order on each side, and lets the break decide the direction. That part is old and well understood. What this EA adds is the layer around it: defined risk on every position, a choice of exit methods, six optional entry filters, account protection, a news filter, and a set of symbol presets that have been optimised and stress
ATR Pulse Engine
Lucas Johannes Martinus Vercoulen
ATR Pulse Engine enters on a candle that is materially larger than current volatility, and surrounds that entry with the risk management, account protection and filtering needed to run it unattended. The entry itself is a single piece of logic: when a completed candle exceeds the current ATR by a configurable multiple, the move is treated as momentum rather than noise. Everything else in the EA decides whether that signal should be acted on, how large the position should be, and what happens to
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