⚖️ EA Comparison Tool
Compare 2-4 EAs side by side. The EA with the best value for each metric is highlighted.
📋 Select EAs to compare (2/4)
GOLD VIPER バランス運用
XAUUSD M30 volatility-regime breakout [Balanced tier] | 22.5yr 100% real tick: PF 1.25 / 43.5% win / 28.9% eqDD / 22.5% yr | Ships at this setting (RunMode=Standard) — hard SL, no martingale. 11 of 23 years were losing years
TRINITY
* TRINITY - one .ex5 that trend-trades BTC+ETH+USDJPY simultaneously. Hard SL per symbol (ATR trail), 1 position per symbol, no grid/no martingale. Three nearly-uncorrelated assets smooth the DD curve. Same engine family as BITCOIN COMET/MEGAMAX. Single $10k account, shipping default Standard, 7.5-yr live-terminal measurement: +1,021% / PF 1.91 / 14.1% equity DD
| Metric | GOLD VIPER バランス運用 | TRINITY |
|---|---|---|
| PF (Profit Factor)Gross profit ÷ gross loss. 1.5 or higher recommended | 1.25 | 🏆1.91 |
| Annual return (CAGR/simple %)Annual return (shown value calculated from 10-yr BT) | +22.5% | 🏆+38.1% |
| Max DDLargest account drawdown (lower is better) | 28.90% | 🏆14.14% |
| Win Rate | 🏆43.5% | 43.1% |
| Trades/YearNumber of trades per year | 🏆844trades | 420trades |
| Calmar (annual ÷ DD)Risk-adjusted return (higher is better) | 0.78 | 🏆2.69 |
| 10-yr simple-interest projection (from $670) | $32,500 | 🏆$48,100 |
| 10-yr compound projection (from $670) | $76,100 | 🏆$112,127 |
💡 Comparison Summary
- PF (Profit Factor):TRINITY (Multi-Asset)
- Annual return (CAGR/simple %):TRINITY (Multi-Asset)
- Max DD:TRINITY (Multi-Asset)
- Win Rate:GOLD VIPER バランス運用 (XAUUSD)
- Trades/Year:GOLD VIPER バランス運用 (XAUUSD)
- Calmar (annual ÷ DD):TRINITY (Multi-Asset)
- 10-yr simple-interest projection (from $670):TRINITY (Multi-Asset)
- 10-yr compound projection (from $670):TRINITY (Multi-Asset)