


Advanced-Pro-CBot V5: A Cutting-Edge Algorithmic Trading cBot for cTrader
Overview
Advanced-Pro-CBot V5 is a highly optimized trading algorithm designed for the cTrader platform, providing automated trade execution based on technical indicators, risk management, and dynamic trade adjustments. With built-in safeguards and margin control, this cBot ensures precise trade execution while maximizing profit potential.
Key Features
1. Risk Management & Position Sizing
- User-defined risk percentage to dynamically calculate trade volume.
- Automatic lot size calculation based on account balance and stop-loss distance.
- Ensures required margin availability before executing trades.
2. Adaptive Stop-Loss & Take-Profit
- ATR-based Stop-Loss (SL) and Take-Profit (TP) for volatility-adjusted trade exits.
- Minimum stop-loss distance to prevent excessively tight SL placement.
3. Trend-Based Entry Strategy
- Uses a dual Simple Moving Average (SMA) crossover for trend confirmation.
- RSI filter to avoid overbought/oversold trade execution.
- Works across multiple currency pairs for diversified exposure.
4. Dynamic Trailing Stop
- Trail Stop activated after a defined profit threshold.
- Automatically adjusts stop-loss to secure profits while allowing further trend continuation.
5. Time-Based Trade Management
- Automatically closes trades exceeding the user-defined maximum trade duration.
- Prevents prolonged exposure in uncertain market conditions.
6. Profit Target & Auto Shutdown
- Monitors total profit from open and closed positions.
- Shuts down trading when the daily profit target is achieved.
- Closes all open positions to lock in gains.
7. Trading Suspension on Insufficient Margin
- Pauses trade execution if free margin falls below the required threshold.
- Resumes trading when free margin recovers.
8. Execution Restrictions
- Designed exclusively for **backtesting and demo trading**.
- Prevents execution on live accounts to ensure compliance with the intended usage.
Compatible Instruments
- All Forex pairs (EURUSD, GBPJPY, EURNZD, etc.)
- Metals (XAUUSD)
- Indices (US30)
- Customizable for additional assets
Customization & User Inputs
- Adjustable ATR period and SL/TP multipliers.
- Configurable risk percentage for trade sizing.
- Selection of multiple trading pairs via input parameters.
Ideal Use Cases
- Traders seeking an automated trend-following strategy.
- Risk-conscious traders looking for dynamic lot sizing.
- Those testing strategies under different market conditions before live deployment.
Note: Ensure to use this cBot in compliance with your broker’s risk policies and test rigorously in demo mode before applying real funds.
lIMITATIONS:
Experience a disciplined, multi-pair forex strategy — optimized exclusively for M30.
This demo version showcases a stable, risk-managed system trading 17 carefully selected currency pairs and XAUUSD, designed for realistic, non-overfitted performance in live-like conditions.
Critical Usage Requirements
To ensure accurate testing and meaningful results, please note:
Timeframe: M30 ONLY — the cBot will automatically stop if loaded on H1, M15, or any other period
Symbols: Trades only these 17 pairs:
XAUUSD, GBPNZD, GBPCAD, GBPCHF, EURNZD, EURCAD, GBPAUD, GBPJPY, EURJPY, EURAUD, CADJPY, USDCHF, US30, NZDJPY, USDCAD, EURCHF, AUDJPY
EURUSD is NOT included and will not be traded
Performance Overview
Conservative, trend-filtered logic with low trade frequency
Focus on drawdown control over aggressive returns
Backtest and optimization results based on M30 data (2022–2025)
No curve-fitting — behavior remains consistent across market regimes
Why This Demo?
Test the core logic risk-free
Validate performance under realistic slippage & spread
See firsthand: no black boxes, no hype — just transparent rules
Full version available with enhanced features, adaptive risk, and lifetime updates.
Reminder
This is a demo-only version. For best results, always run on M30 with the supported symbols listed above.
Version: V5
Platform: cTrader
Developer: [SALILEH]
Release Date: [2025-DEC-29]
Disclaimer
Trading involves risk. Past performance does not guarantee future results.
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