شعار "MAZINGER INFINITY"
cBot
الإصدار 3.0، Apr 2026
Windows, Mac, Mobile, Web
4.5
التقييمات: 2
8.4%
العائد على الاستثمار
1.11
عامل الربح
80.53%
أقصى تراجع
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
صورة "MAZINGER INFINITY" المحملة
20
المبيعات
247
التثبيتات المجانية

Mazinger Infinity represents a sophisticated approach to algorithmic trading, combining spectral analysis with stochastic calculus to identify market cycles and trends and It is designed for traders seeking a technical edge through advanced signal processing techniques rarely found in retail trading tools.

The core of this strategy is its use of fast fourier transform (fft) to decompose market price data into its underlying frequency components, by isolating dominant cycles across three timeframes (default: hour, 4‑hour, daily), the bot constructs a unique, multi‑dimensional view of market structure. This allows it to potentially anticipate shifts in momentum before they become visible on a standard price chart.

strategy type: hybrid (trend‑following / mean‑reversion)
target symbols: all fx pairs, plus indices (e.g., us30, uk100, ger40)
target periods: h1 (primary), with higher timeframe confirmation from h4 and d1

technical characteristics & uniqueness

  • fft‑based cycle analysis: instead of relying on lagging indicators like moving averages, the bot uses fft to adapt to changing market conditions. It identifies whether the market is in a top‑forming, bottom‑rising, or trending state on each timeframe.
  • multi‑timeframe confluence: a trade is considered valid only when a minimum number of timeframes (configurable) agree on the directional bias. This acts as a powerful filter, aligning short‑term entries with the medium and long‑term cycle.
  • stochastic differential equations (sde): the bot models price movements using SDEs, providing a theoretical framework for estimating the average drift (μ) and volatility (σ) of the market. this statistical insight is used to inform trade decisions and assess the quality of the FFT-generated signal.
  • dynamic atr‑based risk management: the stop loss is not a fixed number. it is calculated in real‑time based on market volatility using the average true range (atr). the bot will always respect the configured minimum and maximum sl distance (e.g., 13.6 to 78.6 pips) to ensure risk remains controlled .
  • risk‑reward discipline: the take profit is automatically set as a multiple of the dynamic stop loss (e.g., 2.9x), ensuring a consistently positive risk‑to‑reward ratio on every trade. Mazinger Infinity parameters, such as the fft period and atr multiplier, are fully optimisable, allowing you to adapt its behaviour to different market regimes or instrument personalities.
  • daily loss limit: a built‑in safety feature monitors daily performance and will halt trading if a predefined loss limit (e.g., 40%) is breached, protecting the account from a single catastrophic day .

trading use case
Mazinger Infinity is ideally suited for traders who appreciate a systematic, quantitative approach. it is not a high‑frequency scalper; it is designed to capture significant market moves that align with the dominant cycles. It can be used as a core strategy on a single account or as a diversified component within a larger portfolio of trading algorithms. ItsIt versatility means it can be optimised for the smooth trends of FX majors or the more volatile movements of indices.

suggested account & broker requirements

  • suggested leverage: 1:100 or higher.
  • suggested account size: $100 (or equivalent) minimum.
  • broker requirements: variable, but a broker with competitive spreads is recommended to maximise performance. backtesting was conducted using historical data reflecting spreads of 1.4, 1.5, and 1.6 pips on USDJPY.

⚠️ Important Disclaimers

  1. No Performance Guarantees: Trading financial instruments involves substantial risk. Past performance, including backtested or historical replay results, is not indicative of future results. The developer makes no representations or warranties regarding profitability, consistency, or drawdown behaviour in live markets.
  2. Market & Broker Dependency: Actual results vary based on broker execution quality, spread conditions, slippage, liquidity, news volatility, and server infrastructure. The algorithm’s filters and hedging logic assume stable, low-latency execution environments.
  3. Parameter Responsibility: All configurable settings (grid spacing, multipliers, risk per trade, session filters, lot sizing, etc.) are user-adjustable. Improper configuration may increase exposure, breach margin limits, or trigger unintended position clustering. Users must thoroughly test parameter sets in demo environments before live deployment.
  4. Use at Your Own Risk: By installing or running cbots, you acknowledge that you have read, understood, and accepted all technical requirements, configuration responsibilities, and risk disclosures. The developer assumes no liability for losses, margin calls, platform errors, or execution deviations resulting from live trading.

Important on Optimisation Requirements

This algorithm is designed for both beginner and expert traders, but it is absolutely not suitable for lazy traders. For each financial instrument you wish to trade, whether it is a currency pair, index, commodity like gold or silver, or individual stock, you must perform your own optimisation process to find the optimal settings. Market behaviour differs significantly between instruments, and what works perfectly on one symbol will not work on another without proper tuning. The algorithm provides a state-of-the-art, high-quality framework and unique fitness optimisation tools, but you must be willing to invest the effort to adapt it to your chosen markets. This is a precision tool for serious, active traders who understand that market adaptation is the key to long-term profitability.

Past performance, including the backtest results presented for XAUUSD, does not guarantee future results. The algorithm's performance will vary based on market conditions, broker execution quality, latency, and parameter configuration. No representation is being made that any account will or is likely to achieve profits or losses similar to those shown in backtests.

The algorithm requires instrument-specific optimisation. Parameters that perform well on one symbol or timeframe may produce losses on another. Users are solely responsible for conducting their own testing and validation before deploying the algorithm on a live account.


ملف تعريف التداول
أسلوب التداول
التداول المتأرجح
نوع الإستراتيجية
الاتجاه
نوع التحليل
خوارزمي
وتيرة التداول
متوسطة
الحد الأدنى للرصيد الموصى به
$1000
المخاطرة لكل صفقة
5%
فترة الرسم البياني
1 ساعة
الرافعة المالية للاختبار العكسي
1:500
إدارة المخاطر
نموذج المخاطر
اللوت الثابت
الكمية القصوى (اللوتات)
1
ضوابط المخاطر المدعومة
إيقاف الخسارة
جني الأرباح
إيقاف الخسارة المتحرك
نقطة التعادل
فلتر الجلسة
4.5
التقييمات: 2
5
50 %
4
50 %
3
0 %
2
0 %
1
0 %
تقييمات العملاء
February 28, 2026
useful tool, but not for lazy entries. It supports checking market bias and is easier to judge after the trader stays selective. A smaller first run keeps the risk easier to read.
February 24, 2026
This is easier to judge on H1. A sample of 90 setups with 2 timeframes gives a cleaner read than one good result.
Scalping
Indices
AI
NAS100
يتم توفير المنتجات المتاحة من خلال cTrader Store، بما في ذلك روبوتات التداول والمؤشرات والإضافات، من قبل مطوري الطرف الثالث وإتاحتها لأغراض الوصول المعلوماتي والفني فقط. cTrader Store ليس وسيطًا ولا يقدم نصائح استثمارية أو توصيات شخصية أو أي ضمان للأداء المستقبلي.

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