FIBONACCI ARCHITECT BOT
cBot
Version 1.0, Apr 2026
Windows, Mac, Mobile, Web
4.2
Reviews: 4
27.8%
ROI
1.69
Profit factor
4.23%
Max drawdown
Description
FIBONACCI ARCHITECT BOT
Automated Smart Money Confluence Trading
A professional-grade cBot powered by a sophisticated confluence engine. It integrates Fibonacci retracements, market structure shifts, and liquidity analysis into a fully automated execution system.
STRATEGY & ASSETS
- Strategy: Smart Money Confluence (Reversal-based).
- Universal Compatibility: Designed for all instruments (Gold, EURUSD, US500, Crypto) and all timeframes.
- Optimization: Default parameters are optimized for XAUUSD M5. For other symbols, use the cTrader Optimizer to find the ideal settings for your specific market.
- Risk Management: Recommended 0.5% – 1.0% risk per trade.
CORE FEATURES
- Confluence Engine: Scores setups (0–100) using Fibonacci levels (0.236–0.786), BOS/CHoCH detection, and Liquidity Sweeps (EQH/EQL).
- Smart Filters: Uses Engulfing candle context and Premium/Discount zone bias to ensure high-probability entries.
- Advanced Trade Management: Dual Take-Profit (Partial close + Runner), Auto-Breakeven, and ATR-based Trailing Stop.
- Dashboard: Real-time on-chart display showing market bias, signal strength, and daily performance metrics.
TECHNICAL SPECIFICATIONS
- Non-Repainting: Signals execute strictly on confirmed bar close.
- Execution: Automated volume normalization and broker-timezone aware session filtering.
- Alerts: Instant notifications via Sound, Email, and Webhooks (JSON/Text).
- Compatibility: Fully native cTrader code with zero external dependencies.
Summary
AI summary
FIBONACCI ARCHITECT BOT is an automated trading robot designed for Smart Money Confluence (SMC) reversal strategies. It integrates Fibonacci retracement levels (0.236–0.786), market structure shifts including Break of Structure (BOS) and Change of Character (CHOCH), and liquidity sweeps to score trade setups on a 0–100 scale. The bot applies smart filters such as engulfing candle patterns and premium/discount zone bias to enhance entry quality.
Optimized by default for the XAUUSD pair on the M5 timeframe, it supports all instruments—including gold, forex pairs, indices, and cryptocurrencies—and all timeframes. Users can customize settings for other markets using the cTrader Optimizer.
Trade management features include dual take-profit targets (partial close plus runner), automatic breakeven adjustment, and ATR-based trailing stops. A real-time dashboard displays market bias, signal strength, and daily performance metrics on-chart.
Technically, the bot executes signals only on confirmed bar closes to avoid repainting, normalizes trade volume automatically, and respects broker time zones for session filtering. It provides instant alerts via sound, email, and webhooks. Fully coded natively for cTrader, it requires no external dependencies.
Recommended risk per trade is 0.5% to 1.0%, with support for fixed lot and fixed risk percentage models, and a maximum of three simultaneous positions.
Optimized by default for the XAUUSD pair on the M5 timeframe, it supports all instruments—including gold, forex pairs, indices, and cryptocurrencies—and all timeframes. Users can customize settings for other markets using the cTrader Optimizer.
Trade management features include dual take-profit targets (partial close plus runner), automatic breakeven adjustment, and ATR-based trailing stops. A real-time dashboard displays market bias, signal strength, and daily performance metrics on-chart.
Technically, the bot executes signals only on confirmed bar closes to avoid repainting, normalizes trade volume automatically, and respects broker time zones for session filtering. It provides instant alerts via sound, email, and webhooks. Fully coded natively for cTrader, it requires no external dependencies.
Recommended risk per trade is 0.5% to 1.0%, with support for fixed lot and fixed risk percentage models, and a maximum of three simultaneous positions.
Trading profile
Trading style
Scalping
Strategy type
Breakout
Analysis type
SMC
Trade frequency
Medium
Min recommended balance
$1000
Risk per trade
1%
Chart period
5 minutes
Backtesting leverage
1:500
Daily drawdown limit
4%
Prop firm rule fit
Risk management
Risk model
Fixed lot
Fixed risk percentage
Supported order types
Market
Max quantity (lots)
10000
Supported risk controls
Stop loss
Take profit
Break-even
Trailing stop loss
Customer reviews
4.2
Reviews: 4
5 | 25 % | |
4 | 75 % | |
3 | 0 % | |
2 | 0 % | |
1 | 0 % |
Customer reviews
April 28, 2026
Not bad, just needs realistic expectations. Reads cleaner as it as one more check and ignore it when the chart looks messy. The first run should stay small enough to be boring. A separate journal note should confirm the result.
April 26, 2026
for gold trading, the practical question is whether it reduces bad decisions. A 41 setup journal on New York open makes that clearer.
April 24, 2026
The setup runs cleaner when the final call stays manual. A 34 setup forward sample on London open should be enough for the first opinion.
April 22, 2026
For gold trading, this feels more useful as a filter than a full system. The journal should cover 20 setups and the trade context.
Discussion
FAQ
Partial Close
Position Sizer
BOS
CHOCH
ATR
Trailing Stop Manager
Take Profit (TP) Manager
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Price
Since 16/02/2025
567.89M
Traded volume
796.66K
Pips won
18
Sales