Farhad Kia / 个人资料
- 信息
|
11+ 年
经验
|
20
产品
|
98
演示版
|
|
1
工作
|
2
信号
|
17
订阅者
|
There are many developers available who prioritize writing code quickly and inexpensively, without necessarily ensuring that it is optimized for performance. However, if you are looking for optimal and high-quality work, I would be happy to provide my services.
If you’d like to turn your trading idea into an automated robot or any other custom tool, I’m here to help bring it to life!
Post your job request here 👉 https://www.mql5.com/en/job/new?prefered=gioteen
Here is our latest performance update for NeuroWick subscribers as we move through September.
August Realized Profit: +30.63%
September Realized Profit (MTD): +7.89%
Current Open Exposure: -18.65%
As expected with our algorithmic model, open floating exposure fluctuates as positions develop. We anticipate the current open exposure (-18.65%) to resolve positively in due course and contribute directly to September’s final profit total.
Understanding Strategy Drawdown vs. Platform Metrics
We want to clarify how drawdown reflects within our strategy model versus how it is calculated standardly on the MQL5 platform:
Cycle-Based Capital Management: NeuroWick operates on a structured cycle basis, actively securing and banking profits throughout trade execution.
Platform Drawdown Calculations: Standard platform metrics evaluate raw floating drawdown without fully accounting for the real-time realized gains banked during an active cycle.
The Reality: Consequently, the peak drawdown percentage displayed on the MQL5 page overstates the true risk profile of the system. When calculated against cumulative realized equity within our cycle model, risk remains structured and controlled.
Links & Real-Time Alerts
Detailed Signal Overview & Analytics: https://fxcorner.net/neurowick_signal
Automated Trade Notifications: FX Corner Telegram Channel — https://t.me/FX_CORNER
Thank you for your continued trust and commitment to algorithmic consistency.
The wait is over! Harmonic Radar Pro, our advanced multi-currency, multi-timeframe harmonic pattern recognition system, is officially available on the MQL5 Market for both MetaTrader 4 and MetaTrader 5.
🔎 What it does:
Harmonic Radar Pro automatically scans, identifies, and trades high-probability harmonic formations across multiple pairs and timeframes — all from a single dashboard. Use it as a fully automated EA, or switch off auto-trading and run it as a visual signal/confirmation tool for your own manual strategy.
✨ Key Highlights:
🔹 11 Harmonic Patterns — Shark, Bat, Alt Bat, Gartley, Butterfly, Crab, Deep Crab, Cypher, 5-0, Wolfe Wave & Leonardo
🔹 Multi-Symbol & Multi-Timeframe Dashboard — monitor everything from one chart
🔹 Smart PRZ Validation — strict D-leg checks to filter out weak setups
🔹 Flexible TP/Trailing Systems — up to 6-stage TP ladders, classic trailing, or fixed RR
🔹 Full Risk Management — position limits, spread filters, time-window trading & more
🔹 Auto-Trade or Manual Confirmation mode — your choice
📥 Get it now:
👉 MT4: https://www.mql5.com/en/market/product/194234
👉 MT5: https://www.mql5.com/en/market/product/194228
📊 See it in action before you buy:
Check out our live performance stats, completely free 👉 https://fxcorner.net/harmonic_radar
🔔 Want real-time alerts?
Join our official signals channel and get every pattern detection the moment it happens 👉 https://t.me/SharkChannel
Whether you want a hands-off automated trader or a precision confirmation tool for your discretionary setups, Harmonic Radar Pro has you covered on both platforms. 🚀
Harmonic Radar Pro 是一款专为 MetaTrader 5 开发的高级多货币、多周期谐波模式识别与交易系统。系统具备极高的灵活性,既可以作为 全自动 EA 运行,也可以作为 智能信号/指标工具 ,为您的手动交易策略提供高确信度的二次确认。 它能够自动扫描、识别并在单个图表面板中同时对多个品种的高概率谐波形态进行交易。 实盘结果与社群 实盘数据与实时表现: fxcorner.net/harmonic_radar 官方 Telegram 信号频道: t.me/SharkChannel 核心功能 全自动 EA 与信号指标双模式: 全自动 EA 模式: 由算法根据您的风险规则,全自动执行、管理和移动止损。 手动确认工具模式: 关闭 AutoTrade 即可将其用作强大的可视化扫描器与信号警报系统,为您主观交易提供精准的高汇聚二次确认。 多品种 & 多周期一体化面板: 无需打开多个图表,即可在同一个面板中同时监控并交易多达 11 种谐波形态。 双重显示模式: 一体化面板 (All-in-One Dashboard): 在单个统一的图表画布中动态查看所有形态信号。
We wanted to share an open and transparent look at our recent performance through what was undoubtedly one of the most volatile market stretches of the year.
First, the key numbers:
* **August Realized Profit:** **+30.68%**
* **September Realized Profit (Month-to-Date):** **+5.71%**
* **Current Floating P/L:** **~-21%**
During the recent market tension and central bank interventions, our equity curve experienced significant floating drawdown, briefly pushing peak-to-trough drawdowns above 50%. However, when factoring in the strong banked profits over this period, the **net effective drawdown remained aligned with our long-term backtested risk parameters**—right around the maximum limit detailed in our signal description.
We recognize that watching floating drawdown expand during periods of macro-driven volatility can be challenging. Throughout this move, several subscribers reached out asking if we would intervene manually or adjust the core parameters.
Our commitment has always been to mechanical consistency. We trusted our algorithm’s design, allowed the model to execute its exposure management rules without emotion, and did not override the system. That patience paid off as the strategy navigated through the turbulence into profitability.
If the expert advisor resolves the current floating position, August and September will shape up to be among our strongest months to date.
To those who stayed the course and trusted the model during the high-volatility regime: **thank you for your patience and confidence.** To those who chose to pause or reduce risk to manage their personal risk comfort—we completely understand. Managing capital is ultimately about risk tolerance, and staying within your comfort zone is always the right call.
We will continue monitoring system metrics closely as the month progresses. Thank you for being part of this journey!
Harmonic Radar Pro 是一款专为 MetaTrader 4 开发的高级多货币、多周期谐波模式识别与交易系统。系统具备极高的灵活性,既可以作为 全自动 EA 运行,也可以作为 智能信号/指标工具 ,为您的手动交易策略提供高确信度的二次确认。 它能够自动扫描、识别并在单个图表面板中同时对多个品种的高概率谐波形态进行交易。 实盘结果与社群 实盘数据与实时表现: fxcorner.net/harmonic_radar 官方 Telegram 信号频道: t.me/SharkChannel 核心功能 全自动 EA 与信号指标双模式: 全自动 EA 模式: 由算法根据您的风险规则,全自动执行、管理和移动止损。 手动确认工具模式: 关闭 AutoTrade 即可将其用作强大的可视化扫描器与信号警报系统,为您主观交易提供精准的高汇聚二次确认。 多品种 & 多周期一体化面板: 无需打开多个图表,即可在同一个面板中同时监控并交易多达 11 种谐波形态。 双重显示模式: 一体化面板 (All-in-One Dashboard): 在单个统一的图表画布中动态查看所有形态信号。
The ICT Fair Value Gap indicator built for traders who actually know what they're doing.
✅ Auto-detects FVGs + tracks lifecycle
✅ 3 entry models (Top / CE / Deep)
✅ Inverse FVG conversion
✅ Daily bias filter
✅ Movable dashboard + dark/light themes
No noise. No repainting. Just clean ICT execution.
MT5 → https://www.mql5.com/en/market/product/190808
MT4 → https://www.mql5.com/en/market/product/190950
#ICT #Forex #Trading #FVG
FVG Pro — ICT Fair Value Gap Signal Indicator Built for professional traders who already trade ICT concepts. This indicator is designed for traders already familiar with ICT (Inner Circle Trader) methodology and FVG (Fair Value Gap) concepts — Consequent Encroachment, mitigation, inverse gaps, and bias-based execution. It is not a beginner "buy/sell" signal box; it's a precision tool that automates the tedious part (finding, tracking, and grading FVGs in real time) so
FVG Pro — ICT Fair Value Gap Signal Indicator Built for professional traders who already trade ICT concepts. This indicator is designed for traders already familiar with ICT (Inner Circle Trader) methodology and FVG (Fair Value Gap) concepts — Consequent Encroachment, mitigation, inverse gaps, and bias-based execution. It is not a beginner "buy/sell" signal box; it's a precision tool that automates the tedious part (finding, tracking, and grading FVGs in real time) so you can focus on execution
Just a short note on the current equity reading.
This month we already have +19.63% banked. When this realized profit is taken into account, the effective floating drawdown sits around 24% — still comfortably below the system’s maximum drawdown of 34% from the backtests.
The recent move is mainly linked to the coordinated US-Japan intervention, which has brought higher-than-usual volatility across yen pairs. This kind of temporary expansion in floating drawdown is normal under these market conditions and is part of how the system manages exposure during such periods.
Everything remains well within expected parameters. We’re monitoring closely and will keep you updated.
Thanks for your continued trust!
You may have noticed larger lot sizes (0.02-0.03) on recent JPY trades and a bit more drawdown than usual. This is tied to the recent coordinated JPY intervention by US and Japanese authorities, which has increased volatility across yen pairs — the system's automatic exposure balancing has scaled up sizing accordingly to manage that.
Worth keeping in perspective: with this month's banked profit sitting near 8%, the current floating drawdown is within normal range for the system. As always, we'll continue monitoring closely and will keep you updated.
Thanks for your continued trust!
Dear Subscribers & Investors,
As we close out another month, I want to share a transparent review of our live performance, risk management, and overall system status.
https://www.mql5.com/en/signals/2359316
1. Key Performance Highlights
Monthly Return: +13.32%
Target Consistency: Fully aligned with our model's historical projection of 10%–30% per month.
Global Ranking: NeuroWick has officially reached Rank #15 among all signals on the MQL5 network.
2. Market Environment & Risk-First Philosophy
This month was dominated by severe geopolitical tension, war headlines, and abnormal currency volatility across major FX pairs.
In environments like this, the priority for NeuroWick is capital safety first, yield second. While many automated models struggle during sudden risk-off spikes or blow up their drawdowns, our statistical risk boundaries held firm, protecting our accumulated profits.
3. The CADJPY Trade: Algorithmic Discipline vs. Hindsight
Some of you noticed our recent CADJPY trade and saw the chart drop sharply right after we exited.
To address that directly: our algorithm closed the position roughly 15 minutes before the Bank of Japan intervention hit the market.
The Reality: Had the trade stayed open 15 minutes longer, our profit for the month would have been noticeably higher.
The Takeaway: While it’s easy to look back and wish the trade stayed open, the algorithm exited based on strict risk parameters, standard deviation metrics, and dynamic exposure caps.
In quant trading, an early systematic exit that locks in profit before central bank volatility is never a mistake—it is working as intended. We never gamble on central bank decisions or extreme event risks.
4. Summary & Outlook
We delivered a solid +13.32% profit during a turbulent month while keeping our equity curve stable and drawdowns controlled. The system continues to match its out-of-sample backtest expectations almost precisely.
Thank you for your trust, patience, and support as we continue to climb the global rankings. As always, let the math run! 📈
Dear Subscribers & Investors,
As we close out another month, I want to share a transparent review of our live performance, risk management, and overall system status.
### 1. Key Performance Highlights
* **Monthly Return:** **+13.32%**
* **Target Consistency:** Fully aligned with our model's historical projection of **10%–30% per month**.
* **Global Ranking:** NeuroWick has officially reached **Rank #15** among all signals on the MQL5 network.
### 2. Market Environment & Risk-First Philosophy
This month was dominated by severe geopolitical tension, war headlines, and abnormal currency volatility across major FX pairs.
In environments like this, **the priority for NeuroWick is capital safety first, yield second.** While many automated models struggle during sudden risk-off spikes or blow up their drawdowns, our statistical risk boundaries held firm, protecting our accumulated profits.
### 3. The CADJPY Trade: Algorithmic Discipline vs. Hindsight
Some of you noticed our recent CADJPY trade and saw the chart drop sharply right after we exited.
To address that directly: **our algorithm closed the position roughly 15 minutes before the Bank of Japan intervention hit the market.**
* **The Reality:** Had the trade stayed open 15 minutes longer, our profit for the month would have been noticeably higher.
* **The Takeaway:** While it’s easy to look back and wish the trade stayed open, the algorithm exited based on strict risk parameters, standard deviation metrics, and dynamic exposure caps.
In quant trading, an early systematic exit that locks in profit before central bank volatility is never a mistake—it is **working as intended.** We never gamble on central bank decisions or extreme event risks.
### 4. Summary & Outlook
We delivered a solid **+13.32% profit** during a turbulent month while keeping our equity curve stable and drawdowns controlled. The system continues to match its out-of-sample backtest expectations almost precisely.
Thank you for your trust, patience, and support as we continue to climb the global rankings. As always, let the math run! 📈
From Top 50 to Top 20, the momentum keeps building. 📈
📊 23 weeks live
📈 +125% growth
🎯 76% win rate
💪 Profit Factor 3.25
🛡️ Max drawdown 16%
🤖 100% automated, no martingale, no grid
🙌 Massive thanks to our 9 subscribers riding this with us, your trust is what's driving this climb.
🚂 Still haven't joined? The train just picked up speed. Come be part of the next milestone with us.
🔗 https://fxcorner.net/neurowick_guide
🔗 https://mql5.com/en/signals/2359316
📊 22 weeks live
📈 +118% growth
🎯 76% win rate
💪 Profit Factor 3.13
🛡️ Max drawdown 16%
🤖 100% automated, no martingale, no grid
🙌 Huge congrats to everyone who's been on this journey with us since day one, your trust made this possible.
🚂 Haven't hopped on yet? The train is still moving, and there's room for more. Come see where it goes next.
🔗 https://mql5.com/en/signals/2359316
#Crypto #Forex #Bitcoin #Gold #EURUSD
Scroll through signals and you'll see eye-popping 1,000% growth. But growth alone doesn't show the risk.
A high return built on wild swings and deep drawdowns is just a rough ride for your capital.
NeuroWick focuses on steady, risk-adjusted performance:
✅ Sharpe Ratio: 0.37
❌ No Martingale
❌ No Grid
❌ No fixed lot-size escalation
Don't just ask how much it grew. Ask what the ride looked like. 👇
🔗 Join NeuroWick: https://www.mql5.com/en/signals/2359316
#AlgorithmicTrading #ForexSignals #TradingStrategy #RiskManagement #NeuroWick #FXCorner
Scroll through any signals marketplace and you'll see eye-popping growth numbers: 500%, 1,000%, even six figures since inception. Impressive on the surface, but growth alone doesn't tell you how smoothly that return was earned.
That's where Sharpe Ratio comes in. It measures return relative to risk taken, not just the raw number. A high growth % built on wild swings and deep drawdowns can hide a rough ride for your capital.
NeuroWick's Sharpe Ratio currently sits at 0.37, a reflection of steady, risk-adjusted performance rather than boom-bust volatility. No martingale, no grid, no fixed lot-size escalation to chase losses, just disciplined, basket-based money management designed to smooth the curve.
If you're comparing signals, don't just ask "how much did it grow?" Ask "how did it get there, and what did the ride look like?"
🔗 https://www.mql5.com/en/signals/2359316
📢 t.me/FX_CORNER
📧 admin@fxcorner.net
This NFP month, we crossed the +100% mark in total returns — fully automated, no martingale, no grid, just statistical edge and disciplined execution. 📈
If you've been on the sidelines, this is a great time to take a look. Copying is simple and hands-off — come grow your account with us and let's see where the next NFP takes us! 🙌
⚠️ Past performance isn't a guarantee of future results — only invest what you're comfortable seeing fluctuate.
🔗 https://www.mql5.com/en/signals/2359316
📢 t.me/FX_CORNER
📧 admin@fxcorner.net
🚀 NeuroWick Signal — We Just Crossed +100%! 🎉
What a milestone to hit. Since launch, NeuroWick has delivered +100.98% in total returns — fully automated, zero manual intervention, and built entirely on statistical edge rather than guesswork.
📈 This month alone we're up +3.45%, with today adding another +0.48% — steady, consistent progress in line with the track record we've built.
🙌 A huge congratulations to our current subscribers — many of you have now effectively doubled your starting account since joining us. That kind of result doesn't happen by chance; it's the product of discipline, consistent execution, and sticking with the system through both the highs and the drawdowns. Thank you for trusting NeuroWick with your capital.
To everyone still on the sidelines — this is a great point to take a serious look. Momentum like this doesn't come around often, and we'd genuinely love to have you join this journey with us. Copying is simple, fully hands-off, and you can start seeing the same automated approach working in your own account.
NeuroWick is a fully automated algorithmic trading system using advanced basket-based money management instead of fixed Stop Losses, designed to capture short-term market inefficiencies with discipline.
📊 Risk profile: based on our 5-year backtest, average drawdown sits in the 10-16% range, with one outlier near 34% that was fully recovered. Results shown are historical — future performance isn't guaranteed, and drawdowns can occasionally exceed backtested ranges, so only copy with capital you're prepared to see fluctuate.
💡 Best results have historically been on ECN accounts due to tighter spreads and faster execution — if you're not sure what account type you have or need help setting one up, reach out and I'll walk you through it.
Currently no open positions — the system is flat and ready for its next setup.
🔗 https://www.mql5.com/en/signals/2359316
👉 Telegram for live updates: t.me/FX_CORNER
📧 admin@fxcorner.net
💬 @Gioteen
We're excited to share a major milestone: since launch, NeuroWick has delivered +94.27% in total returns, fully automated, with no manual intervention. 📈
This month alone, the system is already up +17.43%, reflecting the consistency of our statistical edge across varying market conditions.
NeuroWick is a fully automated algorithmic trading system designed to target 10-30% monthly returns, using advanced built-in money management instead of fixed Stop Losses. Trades are managed as baskets, allowing the system to capture opportunities with precision and discipline.
📊 Risk profile: based on our 5-year backtest, average drawdown sits in the 10-16% range, with one rare instance of around 34%, which was recovered quickly.
If you're looking for a hands-off, data-driven approach to the markets, now is a great time to start copying NeuroWick.
https://www.mql5.com/en/signals/2359316
👉 Join our Telegram channel for live updates on new positions and basket closures: t.me/FX_CORNER
Questions about getting set up? Reach out anytime:
📧 admin@fxcorner.net
💬 Telegram: @Gioteen



