V5-VOLATILITY-PAIRS-FX-FUSION-Pro
Selective Volatility Engine for JPY Pairs – Broker-Agnostic & Capital-Preserving
Not a daily income bot. A precision tool for explosive JPY moves.
Realistic Performance Profile
This bot waits for high-conviction volatility spikes in JPY pairs — and stays idle when conditions aren’t favorable.
Based on real-market testing (Dec 2025 – Jan 2026):
✅ ~33% of sessions hit $500+ (often in <24 hours)
✅ ~30% capture partial profit ($30–$100) before market reverses
✅ ~37% halt early (protecting capital in choppy markets)
Results based on real-market testing with standard risk parameters. Actual performance scales with account size.
This is intentional: Better to skip 10 bad days than lose on one.
🌐 Universal Broker Compatibility
Rigorously validated across three distinct environments:
✅ One parameter set. No tuning. Truly broker-agnostic.
What You Get:
Full Pro version (unlimited runtime, all features)
Universal broker compatibility
Professional risk architecture (daily loss limit, drawdown protection)
Priority email support
Free updates for 6 months
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.
Key Features (Retail-Focused)
1. Adaptive Volatility Filter
Only trades when RSI + MA alignment confirms strong momentum
Skips 60–70% of bars — avoids false breakouts and spread traps
2. Capital Preservation Architecture
Daily loss limit (0.8%): Circuit breaker after losses
Max drawdown (8.5%): Hard stop if trend reverses
Spread filter (70 pips): Blocks toxic liquidity (critical for Monaxa)
3. Asymmetric Payoff Design
Small, controlled losses (~$50–$80 per halted session)
Large, trend-capturing wins ($300–$500+)
No forced trades → only high-probability setups
4. Clean, Auditable Logic
No martingale, no grid, no hidden risks
Fully transparent trade history
Compliant with all cTrader Store policies
FAQ for Serious Traders
Q: What account size is recommended?
A: Tested and optimized using standard risk parameters. Works on accounts where 0.8% daily loss aligns with your risk tolerance. Minimum suggested equity: enough to support 0.3–0.5 lot sizing on JPY pairs.
Q: Why doesn’t it trade every day?
A: It’s designed to avoid low-quality setups. In choppy markets, it waits. This is risk management, not inactivity.
Q: Is 33% full-success rate acceptable?
A: Yes. One $500 win offsets 6–10 small losses. This is how professional volatility strategies work.
Q: Do I need to adjust settings per broker?
A: No. Tested and validated on Monaxa, Spotware, and Dominion with identical parameters.
Q: What account size is recommended?
A: $8,000+ for proper risk scaling (0.8% daily loss = ~$65 buffer).
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 will vary based on account size, broker conditions, and market regime
Who This Is For
Intermediate traders who understand volatility cycles
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.
Deploy a bot that respects market reality — not marketing hype.
V5-VOLATILITY-PAIRS-FX-FUSION-Pro: Precision over promises.
















