Logo "FERRARI_FX"
cBot
Diuji pada IC
Versi 2.0, May 2026
Windows, Mac, Mobile, Web
4.0
Ulasan: 1
1
Pembelian
1.73
Faktor keuntungan
8.6%
Susutan maksimum
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
Imej yang dimuat naik "FERRARI_FX"
28.22K
Volum yang didagangkan
181
Pip dimenangi
1
Jualan

Ferrari_BOT V6 Institutional Imbalance Engine

Ferrari_BOT V6 is an enterprise-grade, fully automated quantitative execution system engineered for the cTrader ecosystem. Built upon the core axioms of institutional liquidity delivery and structural price action, the system discards traditional retail lagging indicators. Instead, it systematically detects high-velocity institutional market inefficiencies—known as Fair Value Gaps (FVGs)—and targets their mechanical retracement.

The strategy has been engineered to process structural market mechanics cleanly, deploying precise limit orders at high-expectancy zones while enforcing institutional-grade risk parameters.


Ferrari_BOT V6 approaches the market through a multi-layered validation stack designed to align execution with macro institutional order flow while keeping trades focused within high-liquidity execution windows.

Higher-Timeframe Directional Gate: The engine establishes a macro trend baseline using an H1 underlying trend baseline filter. Long trades are strictly authorized only when the H1 candle close resides above this baseline; short executions require price to print below it. This absolute trend synchronization protects capital by keeping trades aligned with large-scale institutional order flow.

  • Operational Session Gates: Trading operations are restricted to prime structural volatility windows (07:00 to 10:00 UTC and 12:00 to 16:00 UTC). By isolating the London expansion and New York open, the system avoids low-volume Asian consolidation phases and spread-widening periods, ensuring clean execution when institutional volume peaks.


The heart of the system is its automated three-candle structural pipeline, which maps rapid liquidity displacement on the M15 timeframe. To isolate high-probability imbalances from weak retail activity, the algorithm checks each candle sequence against strict volatility expansion and efficiency formulas.


Ferrari_BOT V6 operates strictly as a precision retracement engine, completely abandoning high-slippage market execution in favor of a thread-safe pending limit order architecture.

ENTRY PRECISION MODES (RETEST PROFILES)
===========================================================================
Mode 0: Front Boundary ──► Premium Entry (High Fill Rate)
Mode 1: Consequent Encroachment ──► Equilibrium Entry (50% Retest Level)
Mode 2: Back Boundary ──► Discount Entry (Maximum R-Multiple)
===========================================================================

  • Consequent Encroachment (CE) Pricing: The entry engine anchors limit orders at the exact mathematical midpoint (50% retest level) of the validated FVG zone.
    Demanding a deeper pullback to this structural equilibrium point secures a deep discount price, narrowing the distance to the invalidation point and maximizing the achieved risk-to-reward ratio.
  • Asynchronous Order Management: To prevent excessive exposure and capital degradation, the system enforces a strict Single Active Position rule. The moment a limit order fills, all remaining pending orders are automatically purged from the terminal. Stale or unmitigated zones are aggressively pruned from the registry once their structural age expires.


The risk framework is built for capital preservation, treating downside control as the absolute priority across all market conditions.

Dynamic Risk Allocation: Position volume is calculated automatically using live account equity and the exact pip distance to the structural invalidation point. Stop-losses are never arbitrary; they are placed safely beyond the outer boundary of the FVG structure and protected by an ATR buffer.

  • Partial Profit Harvesting: To stabilize the equity curve, the trade lifecycle engine initiates a partial take-profit sequence, closing 50% of the position volume the moment the trade reaches a +1.5R risk multiplier.
  • Trailing Risk Mitigation: Once a trade hits a +1.2R risk milestone, the break-even engine automatically moves the stop-loss to Entry Price + 1.0 Pip. This locks out tail risk early while leaving the remaining position free to run toward the final take-profit target.
  • System Circuit Breakers: A defensive system cooldown circuit breaker activates instantly after any losing trade. This locks the bot out of new entries for a designated window, preventing revenge trading and protecting capital from drawdown clustering during sudden market regime shifts. Additionally, a hard daily drawdown cap acts as a master circuit breaker to safeguard the account balance against black swan events.


The parameter layout balances trade selectivity with robust risk controls, optimized for deployment on premium forex pairs and liquid spot metals:

Staring Balance: 5000USD

Chart TF: 15min

o   Enable Longs: true,

o   Enable Shorts: true,

o   Risk Percent: 1.0,

o   Max Daily Loss: 10.0,

o   Max Spread Pips: 1.6,

o   H1EmaPeriod: 53,

o   Swing Lookback: 4,

o   Min Displacement Multiplier: 2.0,

o   Min FVG Body Ratio: 0.9000000000000001,

o   Max FVG Age Bars: 18,

o   Entry Precision Mode: 2,

o   Reward Risk Ratio: 2.1,

o   Enable Partial TP: true,

o   Enable Break Even: false,

o   Cooldown Hours: 11

The performance profile derived from clean optimization data verifies the system's strong edge:

  • System Profit Factor: 2.23
  • Net Expectancy: Over 50 per trade on standard base capital, providing a comfortable 4 Pip structural cushion to absorb brokerage commissions and live market slippage.
  • System Win Rate: 50 across clean, distributed trade distribution samples.
  • Peak Drawdown Control: Max equity drawdown tightly insulated at 13.47
  • System Recovery Factor: An exceptional 4.31, proving the strategy's capacity to recover efficiently from brief drawdown periods.

Ferrari_BOT V6 behaves like a patient sniper. By combining volume-weighted displacement math, strict session rules, and advanced risk tracking, it stands as a premium, institutional-grade automated system built for sustainable, long-term capital growth.

Profil dagangan
Gaya dagangan
Dagangan posisi
Jenis strategi
Pembalikan min
Jenis analisis
SMC
Kekerapan dagangan
Sederhana
Baki minimum yang disyorkan
$5000
Risiko setiap dagangan
1%
Tempoh carta
15 minit
Leveraj ujian belakang
1:500
Had susutan harian
4.79%
Kesesuaian peraturan firma prop
Pengurusan risiko
Model risiko
Dinamik
Berasaskan ekuiti
Jenis pesanan yang disokong
Pasaran
Kuantiti maksimum (lot)
1
Jenis kawalan risiko yang disokong
Henti rugi
Ambilan untung
Henti rugi trailing
Had harian
Had susutan maksimum
Pulang modal
Ekuiti henti rugi
4.0
Ulasan: 1
5
0 %
4
100 %
3
0 %
2
0 %
1
0 %
Ulasan pelanggan
April 19, 2026
FerrariBot V5 demonstrates a structured trend-following approach with a solid risk-reward ratio and no signs of grid or martingale behavior. Trade execution appears consistent, but parameter optimization has little visible impact, raising questions about configurability. Further live validation is required to confirm long-term edge.
Stop Loss (SL) Manager
Fair Value Gap
Imbalance
Take Profit (TP) Manager
Produk yang tersedia melalui cTrader Store, termasuk bot dagangan, indikator dan plugin, disediakan oleh pembangun pihak ketiga dan diberikan akses untuk tujuan maklumat dan teknikal sahaja. cTrader Store bukan broker dan tidak memberikan nasihat pelaburan, syor peribadi atau sebarang jaminan prestasi masa hadapan.

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