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bitcoin-glacier

🧊 CRYPTO TREND EA (DAILY / LOW-DD)

BITCOIN GLACIER EA

BTCUSD日線(D1)・低回撤高品質版
MT5實機BT (2018-2025 / M1每Tick) 實證

PF

2.52

最大DD

4.8%

超低DD

累計

+56%

7.9年

交易

44

每年6次・低頻率

🧊 「低DD・高品質」= COMET的保守版(日線)

BITCOIN COMET (H4) 將相同的趨勢引擎套用於日線(D1)。日線可減少雜訊(whipsaw),僅高精度捕捉少數大趨勢因此PF高(2.52)・DD約為COMET的一半(11%→4.8%)。報酬較低(+56%)・交易約每年6次偏少,但最適合想最小化DD的保守運用。※因與COMET(H4)相關,將兩者重複配置並不構成分散。

⚡ 最低入金額: 10萬日圓起(標準/微型帳戶皆可)

可從10萬日圓開始運用。想更安全・以小額操作者建議使用 微型(美分)帳戶 (0.01手的實際曝險約為1/100)。因日線・低DD設計,在加密EA中相對穩定。

BTCUSDD1(日線)雙向MT5實機7.9年低DD4.8%PF 2.52

🧊 BITCOIN GLACIER EA

BTCUSD日線(D1)專用的雙向趨勢跟隨。以ATR×0.2邊際確認Donchian通道(10根≒2週)的突破,僅順著SMA200的斜率方向順勢。以ATR×4的追蹤停利延伸利潤。以日線運用大幅減少假突破,實現低DD・高PF。lot由tickValue計算・每筆交易1風險。

支援貨幣

BTCUSD

時間軸

D1 (日線)

建議經紀商

Exness

實機BT期間

7.9年

🔗 從MEGAMAX頁面取得

REAL MT5 BACKTEST

📈 MT5實機BT實測 (BTCUSDm D1 / 每Tick / $10,000)

指標實測值 (risk2 預設)評價
驗證期間2018 – 2025 (7.9)通過所有型態
淨利 / 累計+$5,629 (+56%)較低・低頻率
獲利因子2.52通過主力標準 (PF≥1.5)
餘額最大DD4.84%非常低 (約COMET的一半)
交易數 / 勝率44 / 34%每年6次・低頻率(大賺小賠)
夏普比率0.79良好

OOS ROBUSTNESS

⚙️ OOS穩健性 (實機實測)

區分PF餘額DD備註
全期間 2018-20252.524.8%採用
OOS前半 2018-20214.424.3%非依賴期間
OOS後半 2022-20251.624.7%兩半期皆為正

⚠️ 風險警告

  • 報酬較低(+56%/7.9年)・交易約每年6次屬低頻率。適合不急於獲利的保守運用
  • 50筆交易作為趨勢EA已足夠,但因低頻率而有年度間的離散
  • 報酬依賴2018-2025的BTC行情。不保證未來重現
  • 與COMET(H4)同策略・相關,將兩者重複配置並不構成分散

How the strategy works (entry, stop, target)

On BTCUSD daily (D1), this is an ultra-low-frequency, low-drawdown trend follower that catches only Bitcoin's major trends a few dozen times a year.

Entry
Breakout of the 20-bar daily Donchian channel with an ATR×0.2 confirmation, only along the SMA200 slope.
Stop / trail
ATR×4 trailing stop — wide on the daily timeframe but with minimal trade frequency.
Take profit
None fixed — the trail rides the whole major trend.
Risk
Balance × 2%, max 5 lots.
Timeframe
The daily timeframe trades only a few dozen times a year with single-digit max drawdown, extracting only Bitcoin's core trends.

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: +2.9%/yrApprox. max DD: 2.4%

Standard (recommended)

×1.0

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

Approx. return: +5.7%/yrApprox. max DD: 4.84%

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: +11.4%/yrApprox. max DD: 9.7%

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 58 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_Slugbitcoin-glacierFXEA365 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).
Entry (Donchian break + confirmation)
EntryChannel20v1.10 PDCA: 20→15 raised PF 1.65→1.87 / +74→+101%, both OOS halves improved; ETH H4 favors a shorter channel
ATRPeriod14ATR期間(H4)
ATRMult4.0Trailing width (ATR multiple). 6=optimal for ETH (robust PF 1.46-3.73 across both OOS halves)
BreakMargin0.2Break confirmation margin (ATR multiple)
Trend-strength filter
UseTrendFiltertrueTrade only with the SMA-slope direction
TrendSMA200Uptrend SMA (buy only above it)
TrendSlopeBars14Bars used to measure SMA slope
Risk Management
RiskPercent5.0Risk per trade as a % of account balance.Def 2.5Std 5Agg 10
FixedBaseBalance00 = compounding (lot follows balance). >0 = use this fixed base (no compounding / daily-withdrawal mode).
MaxLot5.0Hard cap on total lots (prevents runaway / oversized positions).
TradeLongtrue
TradeShorttrue
Behavior
MagicNumber202626Unique ID so the EA never interferes with others (fixed per EA).
Slippage50Allowed slippage (points).
DetailedLogtrueLogs wait/skip reasons, entries and exits to the Journal (forward only).
Exit improvements (extend profit / cut DD) v1.2
UseBreakevenfalseMove SL to break-even at +BE_ATR (protect open profit, cut DD)
BE_ATR2.0Profit to trigger break-even (ATR multiple)
UseProfitLockfalseTighten the trail at +Lock_ATR large profit (lock gains)
Lock_ATR6.0Profit to trigger profit-lock (ATR multiple)
LockTrail_ATR2.0Trail width after lock (ATR multiple)

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.

📈MT5 Strategy Tester 報告BITCOIN GLACIER EA

🏆 MT5 官方 Strategy Tester 實測值 · BTCUSD / D1在新分頁開啟原文
BITCOIN GLACIER EA Strategy Tester Report

📋 關於此報告

  • MT5 策略測試器(XMTrading-MT5 伺服器)生成的官方報告
  • 5-10 年實際價格資料 + 全 tick(99.9% 精度)模型
  • 餘額曲線(藍)/ 淨值曲線(綠)可視化浮動損失
  • 過去結果不保證未來利潤

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