My flagship EA "BullBear" is built on H1 pivot-range (ZhongShu) analysis combined with the Vegas Tunnel trend filter — a pure structure-breakout system with no martingale, no grid, and no hedging.
Backtested across full bull-bear market cycles, including the 2020-2023 volatility period and the 2023-2026 trend rally, with max drawdown under 4% and a consistent 3.8:1 reward-to-risk ratio. The EA has passed MQL5's full automated validation.
What I believe:
Real risk control means hard daily loss limits and drawdown caps that actually trigger, not just numbers sitting on a panel
A good EA doesn't need to trade every day — it waits for the right structure
Transparency is the baseline: adjustable position sizing, clear risk parameters, no hidden logic
If you're looking for gold EAs that prioritize capital preservation while capturing trend moves, you're in the right place.
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