Trading product for Vix maestro cBot No Overtrading Risk/Reward , image 1
cBot
Diuji pada Deriv
Versi 1.0, Jul 2026
Windows, Mac, Mobile, Web
8.3%
ROI
1.44
Faktor keuntungan
16.86%
Susutan maksimum
Trading product for Vix maestro cBot No Overtrading Risk/Reward , image 2
Trading product for Vix maestro cBot No Overtrading Risk/Reward , image 3
Trading product for Vix maestro cBot No Overtrading Risk/Reward , image 4
Trading product for Vix maestro cBot No Overtrading Risk/Reward , image 5

VIX Maestro is an advanced, fully automated cBot meticulously engineered for high-velocity synthetic indices, specifically optimized V10, V25, V75 & V75(1s). Acting like a conductor aligning different sections of an orchestra, the bot tracks market structure across four distinct timeframes simultaneously to exploit premium institutional-grade sniper entries during structural realignments.

Strategy & Core Trading Approach

The strategy relies on a strict Nested Trend-Following Engine. Instead of chasing chaotic price movements on low timeframes, VIX Maestro acts exclusively when micro-timeframe execution charts realign with dominant macro structural trends.

The bot hunts for complex structural convergence. The setup materializes via a distinct phase progression:

  1. Macro Bias Selection: The H4 engine establishes the overall directional playing field (e.g., Bullish Bias).
  2. The Macro Pullback: The algorithm waits for a counter-trend market shift, specifically tracking when the H1 structure flips against the H4 bias (activating a Macro Pullback phase).
  3. The Sniper Entry: While the pullback is active, the bot monitors the execution timeframes. The instant the M3 timeframe flips back to realign perfectly with the primary H4 direction, a market order is immediately executed.
  4. Strict Risk & Capital Management

Built directly into the core code framework to survive high-volatility environments without human intervention:

  • Dynamic <2% Risk Sizing: Automatically calculates lot sizes on every execution based on the distance to the structural M3 stop loss, ensuring a maximum loss ceiling of 2% of account balance per position.
  • Fully Cost-Insulated Breakeven: Once price hits a 3.0 Risk-to-Reward Ratio (RRR), the stop loss automatically protects the trade. The calculation includes a 3x spread buffer and factorizes round-turn commissions and swaps to guarantee zero-risk insulation.
  • Anti-Overtrading Protocol: Limits trade exposure strictly to 1 micro-pullback trade per macro shift, with a maximum restriction of 1 structural re-entry if a position gets stopped out prematurely.
  • Trader Profile
  • Asset Focus: Specifically built for automated synthetic indices traders on platforms running continuous quote feeds like Deriv.
  • Account Sizing: Suitable for personal capital accounts, thanks to the non-martingale, strict percentage-based risk scaling.
  • Experience Level: Set-and-forget architecture. Since optimal settings are hardcoded, it requires zero parameter optimization from the end-user.

Important Usage Notes & Limitations

  • Asset-Specific: While highly profitable on high-volatility assets like VIX 75,10,25 etc, it should not be run blindly on low-volatility standard fiat pairs without understanding the structural ATR distances.
  • No Manual Overrides Needed: This bot uses specialized trailing logic that monitors rolling internal states; manual intervention can disrupt the execution cycles. ie no user-defined parameters.
  • Performance Disclaimer: Backtesting results, historical simulations, and past performance do not guarantee or predict future financial success. Synthetic indices are high-volatility instruments; market dynamics can shift rapidly.
  • Capital Risk: Trading synthetic indices involves substantial financial risk. Never trade with capital you cannot afford to lose.
  • Algorithmic Automation: While VIX Maestro uses automated risk capping and structural logic to preserve capital, no algorithm is flawless. The developer assumes no liability for trading losses incurred while using this software. Use responsibly and test thoroughly on a demo account before risking live capital.
Profil dagangan
Gaya dagangan
Dagangan harian
Jenis strategi
Trend
Jenis analisis
Teknikal
Kekerapan dagangan
Rendah
Baki minimum yang disyorkan
$1000
Risiko setiap dagangan
2%
Tempoh carta
1 jam
Leveraj ujian belakang
1:500
Had susutan harian
4%
Kesesuaian peraturan firma prop
Pengurusan risiko
Model risiko
Peratusan risiko tetap
Dinamik
Berasaskan ekuiti
Jenis pesanan yang disokong
Pasaran
Jenis kawalan risiko yang disokong
Henti rugi
Ambilan untung
Pulang modal
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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