Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 1
cBot
Fusion Markets でテスト済み
バージョン 1.0、May 2026
Windows、Mac, Mobile, Web
55.3%
ROI
2.09
プロフィットファクター
29.73%
最大ドローダウン
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 2
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 3
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 4
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 5
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 6
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 7
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 8
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 9
Trading product for XauUsd Ultimate Bot V_1.3.1 cBot Conservative EMA, image 10
20.85M
取引数量
33.13K
獲得pips

XAUUSD Ultimate Bot Version 1.3.1: Institutional Grade Multi-Regime Algorithm

Strategy Type and Trading Approach

The XAUUSD Ultimate Bot is a multi-regime quantitative trading system specifically engineered for the unique volatility and liquidity cycles of Gold. Rather than relying on a single static logic, the bot operates as a state machine. It uses an advanced filtration matrix—combining Average True Range (ATR), the Average Directional Index (ADX), and Time-of-Day session filters—to continuously classify the market environment as either "Trending" or "Ranging." The bot then dynamically deploys the correct strategy for that specific market condition, preventing the severe drawdowns typical of single-strategy systems. With Version 1.3.1, the system has been further expanded to include longer-term Swing and dynamic Candle Scaling strategies for maximum market adaptability.

Entry Logic and Execution Behaviour

The bot utilizes four distinct execution modules depending on the active market regime and trade management goals:

  • Momentum Mode (Trending): Activated during high-volume sessions (e.g., the London/New York overlap) when volatility expands. The bot executes trades using a precise Fast/Slow Exponential Moving Average (EMA) crossover to ride aggressive directional breakouts.
  • Sovereign Gap Mode (Ranging/Consolidation): Activated during lower-volume periods (e.g., the Asian session). The bot scans for institutional structural imbalances, specifically 3-bar Fair Value Gaps (FVGs), executing reversal trades when price sweeps into these liquidity pools.
  • Swing Strategy: Captures and holds longer-term structural shifts, allowing the algorithm to participate in prolonged, multi-session trends rather than just intraday scalps.
  • Candle Scaling Strategy: Dynamically adds to winning positions by scaling in based on consecutive candlestick momentum, compounding profits during sustained directional moves.
  • Regime Shift Override: If the market suddenly shifts from ranging to trending, the bot actively manages exposure by closing out vulnerable mean-reversion positions.

Risk and Capital Management Principles

Capital preservation is hardcoded into the architecture through a multi-layered defense system and pre-configured risk tiers:

  • Three-Tier Risk Presets: The algorithm comes with three optimized configurations cbotset files after purchase.
    • Low-Risk: Conservative parameters for stable, long-term preservation.
    • Medium-Risk: The factory standard setting designed for balanced growth. If a user finds this default risk exposure too high for their specific capital or comfort level, the risk settings can easily be adjusted downwards.
    • High-Risk: Aggressive parameters designed to maximize returns during peak liquidity.
  • Contextual Auto-Lot Sizing: The bot calculates position size based on a defined percentage of the account balance and the exact pip distance to the structural swing stop loss.
  • Dynamic Swing Trailing Stop: Stop losses trail behind recent structural swing highs/lows, ensuring protection is based on price action rather than arbitrary pip counts.
  • 1:1 Break-Even Logic: Once a trade reaches 1:1 risk-to-reward, the SL is moved to entry (plus a spread buffer) to guarantee a risk-free position.
  • Hard Daily Loss Limit: If the daily equity drawdown threshold is reached, the bot flattens all positions and locks out until the next trading day.

Key Trade Parameters

  • Broker-Optimized Defaults: The version parameter default values have been exclusively pre-set and calibrated for Fusion Markets' specific pricing, spreads, and execution environment.
  • Fully Adjustable Timeframes: The bot is not limited to specific presets; you can set the logic to run on any timeframe (M1, M5, M15, H1, etc.) to suit your specific trading style and volatility preference.
  • Customizable Kill Zones: Start and End hours (UTC) to restrict momentum trading to peak liquidity windows.
  • Post-Purchase Support: Detailed .cbotset files for High, Medium, and Low-Risk tiers are made available immediately after purchase for seamless deployment.

Who This Bot is Best Suited For

This system is built for intermediate to advanced algorithmic traders, prop-firm funded traders, and quantitative portfolio managers. It is ideal for accounts where strict drawdown limits and percentage-based scaling are mandatory. Traders should have a foundational understanding of market regimes and liquidity sweeps to properly adjust parameters.

Important Limitations or Usage Notes

  • Asset Specificity: Tuned specifically for XAUUSD. Deploying on low-volatility FX pairs without heavy optimization is not recommended.
  • Execution Environment: cTrader Cloud Optimized. The bot is designed for native cloud-based deployment, allowing it to run 24/7 on cTrader’s servers without the need for a local PC or third-party VPS.
  • Historical Testing: Please note that all newly published backtest results for Version 1.3.1 were conducted using the default setting optimized for Fusion Markets. If the default risk parameters result in drawdowns that are too high for your account size, you can easily manually adjust the risk levels downwards. Past performance is not indicative of future results. Forward test on a demo account using the provided .cbotset files to align with your broker's specific environment.
取引プロフィール
取引スタイル
スキャルピング
戦略の種類
トレンド
分析の種類
定量
アルゴリズム
取引頻度
最小推奨口座残高
$1000
1回の取引あたりのリスク
3%
チャート期間
1分
バックテストのレバレッジ
1:500
リスク管理
リスクモデル
動的
サポート対象の注文の種類
成行
サポート対象のリスク管理
損切り
利食い
トレーリングストップ
ブレイクイーブン
有効証拠金ストップロス
1日の制限
最大ドローダウン制限
セッションフィルター
0.0
レビュー: 0
カスタマーレビュー
この商品にはまだレビューがありません。お使いになったことがある方は、ぜひレビューをお願いします。
Conservative
EMA
Prop Firm Fit
Fair Value Gap
VPS Recommended
Trailing Stop Manager
Support & Resistance
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