شعار "SCHUMACHERISBACK"
cBot
تم اختباره على FP Markets
الإصدار 1.0، Mar 2026
Windows, Mac, Mobile, Web
4.7
التقييمات: 4
9.5%
العائد على الاستثمار
14.67
عامل الربح
35%
أقصى تراجع
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
صورة "SCHUMACHERISBACK" المحملة
26
المبيعات
264
التثبيتات المجانية

Schumacher is Back ! – Michael Schumacher, Fast Grid Champion, brings Formula 1 precision to your trading. Like the legendary racing champion himself, this algorithm combines strategic foresight with lightning-fast execution to navigate the markets with unparalleled accuracy. Michael Schumacher Fast Grid Champion, brings the mentality of a 7-time world champion to your GER40 charts. This isn't just another cBot—it's your pit crew, your race engineer, and your racing instinct, packaged into one relentless machine. Like Schumacher himself, it reads the track before anyone else sees the corner.

Developed as an advanced evolution of the Sequential Clutch Order Flow strategy, this cBot integrates renowned sequential analysis with a dynamic grid scalping system – creating a powerful hybrid approach that captures opportunities across multiple market conditions.

⚡ What Makes It Fast

Sequential Precision
The same strategic thinking that defined an era. Every move calculated. Every entry is timed with millisecond accuracy. The market unfolds, and you're already positioned.

Clutch Execution
When opportunity strikes, this system engages like a Formula 1 clutch—instantaneous, powerful, seamless. No hesitation. No second-guessing. Just clean, decisive action that leaves slower participants in your mirrors.

Off the Grid
While others calculate their next move, you've already taken position. The start matters. And this champion launches harder than anyone else on the grid.

🏆 Built for Champions

  • Dual-mode intelligence – Adapts to track conditions without missing a beat
  • Risk reflexes – Protective systems that react faster than human instinct
  • Consistency engineering – Built to perform lap after lap, session after session

This isn't about complicated technical explanations. It's about results. It's about crossing the finish line while others are still figuring out the first corner. After extensive development and real-market refinement, the champion returns to the grid. Same winning mentality. Same ruthless efficiency. Same determination to leave competitors behind, using Market Orders for higher liquidity and more precise trading, rather than trading at Market (option available as well).

Michael Schumacher Fast Grid Champion – because in trading, as in racing, it's not only about how you qualify. It's about where you finish, and Schumacher is always on the podium!

Performance Highlights

  • 1537 total trades over 2-year testing period
  • 90% win rate (1365 winning trades vs 172 losing trades)
  • Profit Factor: (16.79) – exceptional risk-reward efficiency
  • Max consecutive winners: 77 – demonstrates strategy consistency
  • Average trade: (0.62) – steady, sustainable returns
  • Drawdown control: Maximum equity drawdown is just 10%

Also, for small accounts, optimal performance:

  • Starting with default parameters
  • Minimum account balance: $1000
  • Risk per trade: 1-2% of account
  • Monitor the first 50 trades before adjusting parameters

With one Top Quality Algorithm, you can immediately trade at a very fast pace DAX40, US500, US100, US30, and also many FX currency pairs. With the purchase, several already optimised highest fit cbotset settings and instructions.

Full customer service is always provided by the pit crew here at Datarum Algorithmica.

For backtesting the Try Product, you can input these parameters for standard and ECN raw accounts.

With the try product optimisation,n any trader can find many setups to backtest and try with Demo.

⚠️ 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.
  5. Electronic Communication Network (Finance/Trading): a computerised system that automatically matches buy and sell orders for securities. It allows major brokerages and individual traders to trade directly without an intermediary like a stock exchange specialist. Broker-dealers ' quality of matching engine and order-filling varies across the industry and requires traders to actively monitor slippage and spreads, limiting max spread and max slippage to obtain optimal order matching. Important to understand that Broker-dealer desks often do not match retail traders' algorithmic strategies, as this is due to the technical requirement of VPS latency <1ms. but also on Brokers' routing choices. CFDs are synthetic prices, not centrally cleared at the stock exchange level, but algorithmically matched by Broker-Dealers ' desks.


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
سكالبينغ
نوع الإستراتيجية
الشبكة
نوع التحليل
خوارزمي
وتيرة التداول
مرتفعة
الحد الأدنى للرصيد الموصى به
$1000
المخاطرة لكل صفقة
10%
فترة الرسم البياني
30 دقيقة
الرافعة المالية للاختبار العكسي
1:500
الحد الأقصى للتراجع اليومي
5%
ملاءمة قاعدة شركة بروب
إدارة المخاطر
نموذج المخاطر
اللوت الثابت
ديناميكي
قائم على التقلب
أنواع الأوامر المدعومة
حد
الكمية القصوى (اللوتات)
1
ضوابط المخاطر المدعومة
إيقاف الخسارة
جني الأرباح
إيقاف الخسارة المتحرك
الحد الأقصى للتراجع
فلتر الجلسة
نقطة التعادل
فلتر الفروقات السعرية
الحدود اليومية
4.7
التقييمات: 4
5
75 %
4
25 %
3
0 %
2
0 %
1
0 %
تقييمات العملاء
April 1, 2026
The idea holds up for grid or recovery trading if the trader keeps control. A 27 setup sample on M5 should show whether it really helps.
March 26, 2026
This fits grid or recovery trading better as a review layer. The first run can be 20 setups on M1, with 0.5 percent per layer and manual notes.
March 26, 2026
A decent setup here should survive 50 orders without looking messy. The first month should show both ROI and DD. An early sample looks better once the trade size stays small.
March 20, 2026
is easier to judge after expectations are normal. It can help with grid or recovery trading, but the trader still needs to know why the entry makes sense. The useful comparison is hit rate versus average R.
Spread Filter
Signal
Aggressive
NZDUSD
ATR
Trailing Stop Manager
Grid Recovery
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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