Logo "GoldBreakM15Long"
cBot
Diuji pada Fusion Markets
Versi 1.1, Apr 2026
Windows, Mac, Mobile, Web
5.0
Ulasan: 3
8.9%
ROI
2.18
Faktor laba
15%
Drawdown maks
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Gambar unggahan "GoldBreakM15Long"
Sejak 14/02/2026

GoldBreakM15Long is a precision-engineered, long-only momentum breakout cBot built exclusively for XAUUSD on the M15 timeframe. Developed for traders who demand structured, rule-based execution with no ambiguity - every trade enters with a reason, and exits with a plan.

🎯 What This Bot Does

GoldBreakM15Long identifies high-probability bullish breakouts on Gold by requiring simultaneous confirmation from five independent technical layers before committing to a position. This multi-layered confluence approach dramatically reduces false breakouts and ensures the bot only trades when the market structure, momentum, and money flow are all aligned.

This is not a grid strategy. Not a Martingale system. Not a hedging bot.
Every single trade carries a predefined Stop Loss and Take Profit - no open-ended exposure, ever.

⚙️ Strategy Logic

The entry signal fires only when all of the following conditions are met simultaneously:

  • Keltner Channel Breakout - Price closes above the upper band (EMA + ATR multiplier), confirming a structural momentum shift
  • WaveTrend Signal Line > 0 - Ensures the breakout occurs in bullish WaveTrend territory, filtering counter-trend noise
  • Money Flow Index (MFI) > Threshold - Confirms genuine buying pressure backs the move, not a low-volume spike
  • ATR Expansion Filter - ATR must be expanding relative to its baseline, confirming that momentum is present and not exhausted
  • CCI Above Dynamic Upper Band - CCI must exceed its own SMA + StdDev band, requiring momentum confirmation from a second oscillator
  • Big-Move Exhaustion Guard - Filters out entries after large parabolic moves that are statistically prone to reversal

All six conditions must be true at the same time. A weaker signal from any single indicator is never sufficient.

🛡️ Risk Management

Risk is managed at three independent levels:

Per-Trade Risk

  • Risk-based position sizing — lot size is calculated dynamically as a percentage of current account equity (not balance), so floating losses on open positions automatically reduce the next entry size
  • Fixed lot mode available as an override
  • Spread is factored into the risk calculation — the true cost of entry is always reflected in position size
  • Minimum volume floor detection — if broker minimum volume would cause actual risk to exceed 1.5× the target, the trade is automatically skipped

Intraday Protection

  • Daily equity drawdown limit - blocks new entries once intraday equity drops a configurable percentage below the day's opening equity
  • Uses Account.Equity (not Balance), so unrealized losses on open positions count toward the daily limit in real time

Account-Level Protection

  • Peak-to-trough total drawdown limit - halts new entries permanently once equity falls a configurable percentage below its all-time peak
  • The equity watermark is persisted to disk across restarts, so rebooting the bot does not silently reset the drawdown counter

📐 Trade Execution & Exit Logic

Stop Loss is placed at the nearest confirmed pivot low minus an ATR buffer - a structural stop, not an arbitrary pip distance. When no valid pivot is found, an ATR-based fallback (SlMultiplier × WidthFactor × ATR) is used automatically.

Take Profit is set at a configurable Reward:Risk multiple from the entry price. An optional TP Boost (×1.2 by default) applies when the entry bar is a wide-range impulse candle and the fast EMA has been rising for three consecutive bars - capturing stronger momentum moves with a proportionally wider target.

Break-Even moves the Stop Loss to entry + a pip buffer once price reaches a configurable percentage of the distance to Take Profit, locking in the trade for free.

SL and TP are applied to the actual fill price, not the bar close - eliminating the slippage divergence that occurs when stops are calculated from pre-fill prices.

All ModifyPosition calls are single-attempt with no blocking sleeps. If SL/TP modification fails, the position is immediately closed - the bot never leaves an unprotected trade open.

🔒 Additional Safeguards

  • Spread filter - skips entries when the live spread exceeds a configurable threshold (default 3.5 pips), protecting against news spikes and rollover periods
  • Cooldown bars - minimum bar count between consecutive entries, preventing re-entry chasing immediately after a close
  • One position at a time - no pyramiding, no stacking
  • Full startup parameter log - every live run and backtest records its exact configuration to the cTrader log for audit and reproducibility
  • Position close event logging - every SL hit, TP hit, and manual close is logged with realised P&L, hold time, and equity snapshot

📋 Recommended Setup

SettingValue

Symbol

XAUUSD

Timeframe

M15

Minimum Account

$1,000 (starting at 0.01 lot)

Recommended Leverage

1:50 or higher

Risk Per Trade

1 - 3%

Broker Type

ECN/Raw Spread

✅ What This Bot Is NOT

  • ❌ No Grid
  • ❌ No Martingale
  • ❌ No Hedging
  • ❌ No averaging down
  • ❌ No open-ended trades without SL/TP

Backtested over multiple years - screenshots include 6-month and 3-month results with accurate tick data, P&L in USD per 1 lot.

⚠️ Risk Disclaimer

Trading involves significant risk. Past performance - in backtests or live results - does not guarantee future returns. This cBot does not guarantee profits. Test thoroughly on a demo account before deploying on a live account. Adjust risk parameters according to your personal risk tolerance and account size. This is not financial advice.

🏷️ Promotional pricing is available for the first 5 buyers only. Once those slots are taken, the price returns to its standard rate. If you're seeing this price, the offer is still active - act accordingly.

Profil trading
Gaya trading
Trading harian
Tipe strategi
Breakout
Tipe analisis
Algoritmis
Frekuensi trading
Medium
Rekomendasi saldo minimal
$1000
Risiko per trading
2%
Periode grafik
15 menit
Leverage backtesting
1:100
Batas drawdown harian
12%
Sesuai aturan perusahaan prop
Manajemen risiko
Model risiko
Berbasis volatilitas
Berbasis ekuitas
Dinamis
Kuantitas maksimal (lot)
1
Kontrol risiko yang didukung
Stop Loss
Take Profit
Impas
Stop Loss Ekuitas
Batas harian
Batas drawdown maksimal
Filter spread
5.0
Ulasan: 3
5
100 %
4
0 %
3
0 %
2
0 %
1
0 %
Ulasan pelanggan
April 11, 2026
For gold trading, this feels more useful as a filter than a full system. The journal should cover 62 setups and the trade context.
April 10, 2026
Makes sense for a trader who wants less noise in the process. The best use is handling XAUUSD volatility, then leaving the final filter manual. Profit alone is not enough if average R is weak.
April 4, 2026
this is easier to judge on H1. A sample of 69 setups with 1.5R target gives a cleaner read than one good result.
Breakout
XAUUSD
ATR
Produk-produk yang tersedia melalui cTrader Store, termasuk bot trading, indikator, dan plugin, disediakan oleh pengembang pihak ketiga serta hanya ditujukan untuk akses teknis dan informasi. cTrader Store bukan broker dan tidak menyediakan saran investasi, rekomendasi pribadi, atau jaminan apa pun tentang kinerja di masa mendatang.

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