支持中心 帮助文档 联系我们
📱 微信: 18391752892 | 💬 QQ: 3313198376 | ✈️ Telegram | 📧 fishfx123@gmail.com
EURUSD 1.0856 +0.12% GBPUSD 1.2678 +0.08% USDJPY 149.23 -0.15% XAUUSD 2034.56 +0.34% EURUSD 1.0856 +0.12% GBPUSD 1.2678 +0.08% USDJPY 149.23 -0.15% XAUUSD 2034.56 +0.34%

Paradox M5

👤 作者: Nurken Buralkiyev

4.5 分

¥7.00

📌 版本: v6
📥 下载: 0
⭐ 评分: 4.5

📝 产品详情

Paradox M5

作者Nurken Buralkiyev
版本v6
更新2 四月 2026
激活数5
原价$1 USD

The "Barbell" strategy developed for Gold 5M timeframe

Core is short-term mean reversion / intraday trend following ("MR") — tight loss distribution, monetizing microstructure noise and liquidity imbalances.

Overlay is long convexity ("ASMR" ) — structurally long vol via asymmetric payoff trades(breakout). Small bleed, but when dispersion and volatility expand, it pays non-linearly.

MR is short gamma, high hit-rate carry, ASMR is convex leg = long gamma, tail monetization.

Able to pass prop challenges if scaled properly

See rules after permormance summaries

Capital 1000, fixed lots per modules MR/ASMR 0.1

   ? Account Performance

   Initial Balance:        $1,000.00

   Final Balance:          $12,610.62

   Net Profit/Loss:        $11,616.89

   Total Return:           1,161.06%

   Trading Period:         2191 days (2020-01-01 to 2025-12-31)

Trading Activity

   Total Trades:           1159

   Winning Trades:         557 (48.06%)

   Losing Trades:          602 (51.94%)

   Average Trade:          $10.0

In-Sample Period (Before 2024-01-01)

   Trades:                 700

   Win Rate:               48.57%

   Net Profit:             $3,622.20

   Profit Factor:          1.41

Out-of-Sample Period (From 2024-01-01)

   Trades:                 459

   Win Rate:               47.28%

   Net Profit:             $7,994.69

   Profit Factor:          1.86

Profitability Metrics (Overall)

   Gross Profit:           $29,673.58

   Gross Loss:             $18,056.69

   Profit Factor:          1.64

   Average Win:            $53.27

   Average Loss:           $-29.99

   Risk/Reward Ratio:      1.78

   Expectancy per Trade:   $10.02

   Largest Win:            $682.10

   Largest Loss:           $-176.50

Risk Metrics

   Maximum Drawdown:       -29.58% ($682.10)

   Sortino Ratio:          1.20

   Calmar Ratio:           1.30

   Value at Risk (95%):    -1.24%

Consistency Metrics

   Max Consecutive Wins:   8

   Max Consecutive Losses: 8

   Monthly Win Rate:       72.13%

   Best Month:             $2,049.82

   Worst Month:            $-373.52

   Avg Monthly Return:     $190.44

   Avg Weekly Return:      $49.86

   Total Weeks:            233

Trade Timing

   Avg Holding Time:       5.4 hours

================================================================================

OUT-OF-SAMPLE PERIOD BREAKDOWN (Actual & VaR-Based Expectations)

================================================================================

    PERIOD         ACTUAL BEST    ACTUAL WORST     ACTUAL MEAN       BOOT MEAN     BOOT MEDIAN  VaR BEST (95%)  VaR WORST (5%)

    ----------  --------------  --------------  --------------  --------------  --------------  --------------  --------------

    Daily       $     1,007.30  $      -195.00  $        26.92  $        35.08  $        -1.83  $       338.16  $      -105.00

    Weekly      $     1,337.53  $      -230.21  $        89.83  $        91.35  $        38.05  $       551.50  $      -174.82

    Monthly     $     2,049.82  $      -131.91  $       363.40  $       365.17  $       311.51  $     1,207.98  $      -293.80

Recommendations

1. Attach to XAUUSD 5 min chart.

2. Enable EOD close.

3. Don't overweight ASMR, keep it less than 50% of total position size. Start with small sizes

4. Put session times properly.

4. If you have questions/doubts always DM.

安全须知

本产品仅通过 MQL5.com 官方渠道获取。其他渠道版本可能缺少完整功能和技术支持。

EA 配置

交易品种XAUUSD
时间框架H1 (推荐)
推荐经纪商IC Markets, IC Trading
最低存款$300 / 0.01手

📸 截图预览