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★ EA nuevo · EURGBP real 9 años PF 2.18 · el menor DD entre los de promediado, 9.7% · sin compuesto / con SL

⚠ Categoría de promediado (con SL)

  • Adaptado a la naturaleza del EURGBP (la divisa con el rango históricamente más estrecho y más propensa a la reversión a la media),diseñado con lote pequeño 0.02 · SL duro ($-2.000) · sin compuesto
  • DD máx. de saldo 9.7% = el de menor riesgo entre los EA de promediado. Correlación lineal de la curva de capital de 0.98 = una curva ascendente casi recta.
  • Por la naturaleza del promediado, persiste el riesgo de pérdida en un stop-out forzoso.Retiro diario recomendado · cuenta aparte · capital sobrante.

EA nuevo · optimización exclusiva de EURGBP (sin compuesto + stop-loss + reversión a la media)

EURGBP PEACE EAEURGBP M5 promediado de reversión a la media (+2.6% anual / real 9 años)

Al EURGBP, de rango estrecho y propenso a la reversión a la media, le aplicamos lote pequeño ajustado a la volatilidad + SL duro + lote fijo (sin compuesto), un EA de promediado.Superamos la debilidad de que «el promediado quiebra» con stop-loss y contención del lote.En BT real de MT5 de 9 años (2017-2025): PF 2.18 / DD máx. de saldo 9.7% / 0 quiebras, una curva ascendente demostrada.

Probador de Estrategias real de MT5, BT de 9 años (EURGBP M5, $10.000)

★ 9 años completos (2017-2025)PF 2.18DD 9.7%+24%
IS primera mitad (2017-2021)PF 2.12DD 4.3%Periodo de optimización
OOS segunda mitad (2021-2025)PF 1.49DD 6.8%Sin optimizar = robustez

※ Medido en real con MT5. PF>1.4 tanto en IS como en OOS, y aun variando lote/niveles/SL todo da en torno a PF 1.9 (meseta) = no sobreoptimizado. Tasa de acierto 78.65% · recovery factor 2.40.

Profit Factor

2.18

期待値

勝率

78.7%

2,206取引

最大DD

9.73%

証拠金DD

年率複利

+2.6%

+€242/年($10,000基準)

Attach to: EURGBP M5The strategy reads the M5 timeframe. On any other chart it will place no trades at all. When testing in the MT5 Strategy Tester, set the symbol and timeframe to EURGBP M5 as well.

Run Mode (Defensive / Standard / Aggressive)

Every EA exposes a "RunMode" dropdown that switches aggressiveness across three levels. It only multiplies the lot (risk) — entry/exit logic, symbol and timeframe never change.

Defensive

×0.5

Half of standard risk. Both max drawdown and expected return are roughly halved. For capital preservation or first-time automated trading.

Approx. return: +1.3%/yrApprox. max DD: 4.9%

Standard (recommended)

×1.0

The backtest figures shown on this page use this setting. Start here.

Approx. return: +2.6%/yrApprox. max DD: 9.73%

Aggressive

×2.0

Double the standard risk. Return and max drawdown roughly double, raising the risk of ruin. Use only with money you can afford to lose.

Approx. return: +5.2%/yrApprox. max DD: 19.5%

Approximations relative to Standard (Defensive ≈ 0.5x / Aggressive ≈ 2x). Drawdown does not scale linearly; in sharp markets Aggressive can exceed this estimate. Lots auto-adjust to balance when compounding is on.

All Parameters

All 73 inputs shown in MT5 (EA core + shared modules). Strategy-core values are pre-optimized — keep them at defaults; tune only the operational ones as needed.

ParameterDefaultDescription
General
VersionCheck_EnabletrueEnable automatic update notifications.
EA_Slugaudcad-peace-cloneFXEA365 site EA identifier (do not change).
RunModeMODE_STANDARDRun mode (Defensive x0.5 / Standard x1.0 / Aggressive x2.0). Switches the lot multiplier.
Economic Event Filter
EconFilter_EnabletrueAvoid trading around high-impact economic events.
EconFilter_AvoidNFPtrueAvoid NFP (1st Friday each month).
EconFilter_AvoidFOMCtrueAvoid FOMC (US Federal Open Market Committee).
EconFilter_AvoidCPItrueAvoid CPI (US consumer price index).
EconFilter_AvoidWeekendtrueAvoid weekend risk (late Fri / early Mon).
EconFilter_AvoidHoursBefore2Avoid N hours before the release.
EconFilter_AvoidHoursAfter1Avoid N hours after the release.
EconFilter_ServerGMTOffset3Server-time GMT offset (summer=3 / winter=2).
EconFilter_VerbosefalseVerbose filter logging.
EconFilter_UseCalendartrueAuto-fetch from MT5 economic calendar (falls back to NFP/CPI rules where unavailable).
EconFilter_MinImportance2Min calendar importance (1=low+ / 2=medium+ / 3=high only).
EconFilter_CurrenciesUSDCalendar target currencies (CSV, e.g. USD,EUR,JPY).
EconFilter_StopImportance3Fully stop new entries at this importance or above.
EconFilter_StopBeforeMin120Stop: N minutes before release.
EconFilter_StopAfterMin60Stop: N minutes after release.
EconFilter_ReduceLotFactor0.5Lot factor on medium impact (reduce instead of stop).
EconFilter_ReduceBeforeMin30Reduce lot: N minutes before.
EconFilter_ReduceAfterMin15Reduce lot: N minutes after.
Safety Guard
Guard_EnabletrueEnable the safety guard (forward only).
Guard_EmergencyMargin120.0Close all if margin level falls below this % (0=off).
Guard_DailyLossPct8.0Stop new entries for the day at this daily loss % (0=off).
Guard_DailyLossClosefalseAlso close open positions when the daily loss is hit.
Guard_MaxConsecLoss0Stop new entries for the day after N consecutive losses (0=off).
Guard_FridayClosefalseClose everything late Friday.
Guard_FridayCloseHour20Friday close-all hour (server time).
News Protect
Guard_NewsProtectMode00=off / 1=SL to break-even / 2=half close / 3=close all.
Guard_NewsProtectMin15Run protection N minutes before high-impact events.
Dashboard / Notify
Notify_PushtrueMT5 mobile push notifications (requires MetaQuotes ID).
Notify_EmailfalseEmail notifications (requires MT5 email setup).
Notify_WebhookURLGeneric webhook URL (Discord/Slack, etc.; empty=off).
Notify_MarginAlert150.0Alert when margin level falls below this %.
Notify_DailySummarytrueSend a daily summary at a set time.
Notify_SummaryHour6Daily summary send hour (server time, 0-23).
Dash_TradeCSVtrueRecord all fills to CSV (MQL5/Files).
Dash_PauseButtontrueShow a pause button on the chart.
Notify_NewsPrewarnMin60Pre-warn N minutes before entries are halted (0=off).
⚠ Ruin-premised (aggressive)
IAcceptBankruptcyRiskfalseConsent required (skipped during backtest/optimization)
SkipLicense0Skip license check during backtest
Entry
EntryModeENTRY_ALWAYSv1.1 live-opt: always-on entry beats ADX mean-reversion on PF
EMA_Period00=off, >0=on
ADX_Period14ADX期間
ADX_Threshold25.0ADX level (below this = no trend)
v1.4: Compounding (balance-linked Lot/SL)
UseCompoundingfalseTrue compounds (reinvests profit, growing lots).
LotPerDeposit0.005InitialLot = balance x this (e.g. $10K -> 0.05 lot).
SL_profit_pct50.0SL trigger = -X% of current balance (default 50%).
Nanpin
InitialLot0.05Initial lot (first nanpin entry size).Def 0.025Std 0.05Agg 0.1
NanpinLotsMult1.5v1.2 live-opt: 1.7→1.5 + smaller grid/TP raised monthly return 1.88%→3.25%
NanpinEntryPips10v1.2 実機Opt: 30→10 (取引3.5倍頻発化)
NanpinCount10Max averaging-down (grid) steps
Nanpin_interval_hour3Wait time before next position (hours)
Auto_AdjustmenttrueVariable spacing by ADX sensitivity
Adjustment_sensor14感度 (大=広間隔)
TP / SL
TP_pips5v1.2 実機Opt: 20→5 (薄利・頻発)
TP_profit0v1.2: disabled (uses TP_pips only)
SL_pips00=無効
SL_profit-6000Absolute SL in account currency (e.g. -$6000).
Time / Filter
StartHour2broker time 開始 (PEACE GMT+2/+3)
EndHour22broker time 終了
OutOfTimeNanpinfalseAllow averaging-down outside trading hours
MaxSpreadPips5.0
Safety
UseMarginEmergencyClosetrue
EmergencyMarginLevel150.0
MaxSlippage20
v1.3: Multi-currency safety controls (OFF by default)
UseAccountEquityFloorfalseStop EA when equity drops below X% of initial (multi-pair).
EquityFloorPct50.0Floor at X% of initial equity (default 50%).
UseGlobalLotLimitfalseHard cap on total lot across symbols (multi-pair).
GlobalMaxTotalLot5.0Total lot cap when UseGlobalLotLimit=true.
General
MagicNumber20260899Unique ID so the EA never interferes with others (fixed per EA).
EACommentPEACE_CLONE
DetailedLogtrueLogs wait/skip reasons, entries and exits to the Journal (forward only).

Defaults and descriptions follow the EA source. Lot inputs show the effective value after the run-mode multiplier (Defensive x0.5 / Standard x1.0 / Aggressive x2.0). See the bundled MANUAL.html for details.

📈Reporte MT5 Strategy TesterEURGBP PEACE EA

🏆 Resultado Oficial MT5 Strategy Tester · EURGBP / M5Abrir original en pestaña nueva

📋 Sobre este reporte

  • Reporte oficial de MT5 Strategy Tester (servidor XMTrading-MT5)
  • 5-10 años de datos reales + modelo every tick (99.9% precisión)
  • Curva de balance (azul) / Equity (verde) muestra pérdidas flotantes
  • Resultados pasados no garantizan ganancias futuras

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