Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 1
cBot
تم اختباره على FP Markets
الإصدار 1.0، Jul 2026
Windows, Mac, Mobile, Web
1.69
عامل الربح
4.75%
أقصى تراجع
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 2
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 3
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 4
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 5
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 6
Trading product for realbacktesting Pegasus Nasdaq cBot Consistent Returns Stop Loss (SL) Manager, image 7
30.48M
حجم التداول
12.32K
الربح بالبيب
119
التثبيتات المجانية

Pegasus Nasdaq - +215,92% over 2,5 years on US Tech 100 (1,69 profit factor per trade, -14,75% max DD) - and you reproduce every number yourself in your own cTrader. NO grid. NO martingale. Real, institutional-grade edge - for your OWN capital, not a prop challenge.

THE NUMBERS (cTrader-native backtest, 2024-2026, m1, real commission + swap)

ROI +215,92% (58,5% CAGR) Profit factor 1,69 (per trade - the figure cTrader reports) Max equity DD -14,75% Calmar (CAGR/DD) 3,97 Trades 1179 (win rate 48,9% per trade)

Every figure is the cBot's OWN cTrader run - reproduce it yourself, on your broker's costs.

NOT A BLACK BOX - WHY IT IS REAL

8 distinct, REAL strategies - each a tested statistical edge, walk-forward and out-of-sample validated. No grid, no martingale, no averaging into losers, no hidden risk multiplier waiting to blow the account. And it is NOT a fantasy backtest: every figure above is the cBot's OWN cTrader-native run (m1 bars, real commission + swap) that YOU reproduce on your broker's costs. Proof over promises.

THE BOOK - 8 DECORRELATED STRATEGIES IN ONE cBOT

Diversified by BEHAVIOUR, not by market: Trend, Breakout, Momentum, Mean-reversion, Price Action, Calendar/Seasonal. Every sleeve isolated by its own label on US Tech 100 (USATECHIDXUSD). Mean pairwise correlation ~0,28 - when one sleeve is flat, another is usually carrying, which keeps the equity curve smooth and the drawdown shallow.

CONFIGURE PER STRATEGY - FULL CONTROL

Every sleeve is individually labelled and configurable from the cTrader parameters panel - each shown by its style and timeframe (e.g. "S01 - Volatility Trend - 8h"). Turn any strategy On/Off, set its Risk %, and its trade Sides. Plus: Additive sizing (Additive or Compound - one click), a configurable 25% max-drawdown guard, and per-asset + global risk caps. Keep the defaults and you reproduce the published figure; every dial is exposed if you want to adapt it to your account.

PRICING - ONE-TIME, PER-STRATEGY, NO SUBSCRIPTION

Priced by what is inside it: $20 per strategy. 8 strategies = $160 one-time. Pay once, own it. NO SALES. NO DISCOUNTS. EVER. The price only ever RISES - +$5 per strategy every 5 sales (ceiling $75/strategy). The earliest buyers lock in the lowest price; it never goes down. No subscription, no monthly fee, no rent.

VERIFY IT FREE FIRST - THEN PAY

There is a FREE "Backtesting only" edition of Pegasus Nasdaq: it runs the FULL strategy inside cTrader's Backtester and Optimizer so you reproduce these exact numbers on your own screen first - but it CANNOT place a live or demo trade, by design. Verify, then pay only if the numbers hold up. Backtest recipe: m1 data, 2024-2026, starting capital 80000, your broker's real spread + commission.

MORE - THE FULL BREAKDOWN

Every strategy, every cTrader-native metric and the exact steps to reproduce it are on our cTrader profile and our website - search "realbacktesting". (The cTrader Store keeps links out of descriptions, so none here.)

ملف تعريف التداول
أسلوب التداول
التداول المتأرجح
نوع الإستراتيجية
الاتجاه
نوع التحليل
خوارزمي
وتيرة التداول
متوسطة
الحد الأدنى للرصيد الموصى به
$4500
المخاطرة لكل صفقة
0.5%
فترة الرسم البياني
1 ساعة
الرافعة المالية للاختبار العكسي
1:30
الحد الأقصى للتراجع اليومي
1.51%
ملاءمة قاعدة شركة بروب
إدارة المخاطر
نموذج المخاطر
قائم على رأس المال
نسبة المخاطر الثابتة
الكمية القصوى (اللوتات)
5
ضوابط المخاطر المدعومة
إيقاف الخسارة
جني الأرباح
إيقاف الخسارة المتحرك
نقطة التعادل
الحد الأقصى للتراجع
إيقاف خسارة رأس المال
فلتر الجلسة
0.0
التقييمات: 0
تقييمات العملاء
لا توجد تقييمات لهذا المنتج حتى الآن. هل جرَّبته بالفعل؟ كن أول من يخبر الآخرين!
Consistent Returns
Stop Loss (SL) Manager
Aggressive
Key Levels
Trailing Stop
ATR
Trailing Stop Manager
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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