





V5-VOLATILITY-PAIRS-FX-FUSION-Pro
Try Before You Buy: A free Trial version is available in the cTrader Store. Test the core logic risk-free on your broker before upgrading to Pro.
Institutional Volatility Engine for JPY Pairs | Prop Firm Compliant | Broker-Agnostic
Not a “daily income” bot. A capital-preservation system for explosive JPY moves, engineered for funded account success.
Engineered Through Rigorous Optimization
This bot was refined over 14+ days of intensive parameter stress-testing across:
3 market regimes (trending, ranging, high-volatility news)
4 broker environments (Monaxa, Spotware, Dominion, demo)
27,000+ bar iterations using walk-forward analysis
Every parameter was validated for robustness, not just peak performance, ensuring it survives real-world volatility spikes without overfitting.
We prioritized capital preservation > win rate, because in prop challenges, survival is the first profit.
Transparent Parameter Set (Fully Optimized)
All parameters are fixed and optimized for $10,000-equivalent risk scaling. No tuning required:
Symbol": GBPJPY
Period": m30
Parameters:
Risk Percent: 2.0,
Daily Loss Limit Percent: 0.8,
Max Drawdown Percent: 10.0,
Stop On Max DD: true,
Target Profit: 500.0,
Stop On Target: true,
Max Total Positions: 7,
Max Correlated Pairs: 7,
Stop Loss Pips: 52,
Take Profit Pips: 100,
Max Spread: 70.0,
Enable Trailing: true,
Trailing Start: 45,
Trailing Step: 13,
Enable Break Even: false,
Break Even Trigger: 34,
Break Even Offset: 7,
RSI Period: 10,
MA Period: 49,
Trading Pairs Input: "GBPJPY, EURJPY, GBPAUD, EURNZD, GBPNZD"
One parameter set. Zero tuning. Truly broker-agnostic.
Validated on Monaxa, Spotware, and Dominion with identical results.
Universal Prop Firm Compliance
Daily Loss Limit: 0.8% circuit breaker (Balance-based)
Max Drawdown: 10.0% hard stop (Equity-based)
Spread Filter: Blocks toxic liquidity (>70 pips)
Session Control: Trades only London/NY overlap (07:00–16:00 UTC)
Asymmetric Payoff Design (Professional Edge)
Small, controlled losses: ~$50–$80 per halted session
Large, trend-capturing wins: $300–$500+ in high-volatility spikes
No forced trades: Only executes when RSI + MA alignment confirms momentum
Skips 60–70% of bars: Avoids false breakouts and spread traps
This is how professional volatility strategies compound capital.
FAQ for Funded Traders
Q: What account size is recommended?
A: Optimized for $8,000–$100k accounts. At $10k: 0.8% daily loss = $80 buffer → aligns with FTMO/Dominion rules.
Q: Why doesn’t it trade every day?
A: It’s a compliance feature. In choppy markets, it enforces prop firm rules by staying flat — protecting your challenge.
Q: Do I need to adjust settings per broker?
A: No. Validated on Monaxa, Spotware, and Dominion with identical parameters.
Critical Disclaimer
Past performance ≠ future results. Not all sessions will be profitable — this is normal for volatility strategies. Do not expect consistent daily returns. Test thoroughly in demo before live use. Performance based on real-market testing with $10K-equivalent risk scaling. Results vary by account size, broker, and market regime.
Who This Is For
Funded traders needing prop-compliant volatility execution
Intermediate traders who understand JPY pair dynamics
Patient investors focused on asymmetric risk/reward
Retail traders tired of over-optimized, curve-fitted bots
Not for: Traders seeking "daily pips" or guaranteed returns.
Final Positioning Statement
Deploy a volatility engine that respects market reality — not marketing hype.
V5-Pro: Where institutional discipline meets JPY pair explosiveness.






