"AI SHORT EXPLORER v1.0" logo
cBot
Version 1.1, May 2026
Windows, Mac, Mobile, Web
2
Profit factor
4%
Max drawdown
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
"AI SHORT EXPLORER v1.0" uploaded image
42.1M
Traded volume
6.13M
Pips won
151
Sales
6.21K
Free installs
About trial version
DEMO LIMITS: // - 10-day trial (multi-anchor: LocalStorage Device + Type + History + Positions) // - Demo accounts only (Account.IsLive blocks) // - Max 100 trades total during the entire trial (persistent counter)

πŸ€– AI SHORT EXPLORER v4.0 β€” Professional Edition

The Ultimate Multi-Asset Short Scalper for cTrader



πŸ”₯ WHAT IS THIS?


AI Short Explorer is an automated short-only scalping bot that simultaneously monitors multiple assets, scores them with 16 technical filters, optionally confirms signals through up to 12 AI models, and executes trades with professional-grade risk management including prop firm protection, break even, partial close, trailing stop, and more.


It was designed for traders who want to:

🎯 Catch bearish reversals and momentum across many instruments at once

🧠 Use AI as a second opinion before entering a trade

🏦 Trade prop firm challenges without blowing the rules

πŸ“Š Track everything with CSV journal, Telegram alerts, and live stats



πŸ“ HOW IT WORKS β€” THE PIPELINE


Every bar the bot follows this exact sequence:


1. SAFETY CHECKS β€” Warmup, Hours, Sessions, Friday, Prop Firm, Daily Limits, Consecutive Losses, Equity Curve

2. MULTI-ASSET SCAN β€” All assets scored 0-100 with 16 filters

3. PRE-TRADE FILTERS β€” MTF confirmation, Correlation check

4. AI CONFIRMATION (optional) β€” Up to 12 AI vote simultaneously. Mode: First / Consensus / Unanimous

5. EXECUTION β€” ATR-based SL/TP, Risk % sizing, Open SHORT

6. POSITION MANAGEMENT (every tick) β€” Time Exit, Break Even, Partial Close, Trailing

7. ON CLOSE β€” Journal CSV, Telegram alert, Recovery tracking, Live stats every 10 trades



═══════════════════════════════════════════

πŸ“‹ COMPLETE PARAMETER GUIDE

═══════════════════════════════════════════



πŸ“Œ ── ASSETS ──


Asset List (default: EURUSD,GBPUSD,USDJPY,AUDUSD,NZDUSD,USDCAD,USDCHF,XAUUSD,US500)

Comma-separated list of symbols to monitor. The bot scans ALL of them every bar and picks the best opportunities. Use your broker's exact symbol names.


Analysis TimeFrame (default: Minute15)

The timeframe for technical analysis. M5 for aggressive scalping, M15 for balanced, H1 for swing-style shorts.


πŸ’‘ Remove symbols your broker doesn't support (e.g. US100 may be called USTEC or NAS100).



πŸ“Š ── RSI ── (Relative Strength Index)


Detects overbought conditions β€” ideal for catching short entries when price is stretched too high.


RSI Enabled (default: ON) β€” Master switch for this filter.

RSI Period (default: 14) β€” Lookback period. Standard is 14. Lower = more sensitive.

RSI Overbought (default: 65) β€” Score starts accumulating above this level. Classic is 70, but 65 catches more signals.

RSI Extreme (default: 75) β€” Above this = maximum points (25 pts). Very strong short signal.

RSI Divergence (default: ON) β€” Price making higher highs but RSI making lower highs = bearish divergence. Powerful reversal signal (+8 pts).


🎯 Scoring: RSI>75 = 25pts, RSI>OB = 12-22pts, RSI falling from >55 = 8pts, RSI divergence = +8pts bonus



πŸ“ˆ ── EMA CROSS ── (Exponential Moving Average)


Detects bearish crossovers and bearish alignment between fast and slow moving averages.


EMA Enabled (default: ON) β€” Master switch.

EMA Fast Period (default: 9) β€” Fast EMA. Reacts quickly to price changes.

EMA Slow Period (default: 21) β€” Slow EMA. Represents the short-term trend.

EMA Slope Check (default: ON) β€” Awards extra points if the fast EMA is actively falling (momentum confirmation).


🎯 Scoring: Fresh cross down = 20pts, Bearish alignment = 5-17pts, Slope falling = +5pts



πŸ“‰ ── EMA TREND ── (Long-Term Trend)


Checks if price is below the long-term moving average β€” trading WITH the trend, not against it.


EMA Trend Enabled (default: ON) β€” Master switch.

EMA Trend Period (default: 200) β€” The classic EMA200. Price below = bearish trend.


🎯 Scoring: Below EMA200 = 10-15pts, Near EMA200 = 7pts, Above = 2pts (still gives a small score since we're looking for reversals too)



πŸ“Š ── MACD ──


Measures momentum direction and strength. MACD cross-downs are powerful short signals.


MACD Enabled (default: ON) β€” Master switch.

MACD Fast (default: 12) β€” Fast EMA for MACD calculation.

MACD Slow (default: 26) β€” Slow EMA for MACD calculation.

MACD Signal (default: 9) β€” Signal line period.


🎯 Scoring: Fresh MACD cross down = 20pts, Bearish expanding = 12pts, Bearish = 7pts, Weakening momentum = 5pts



🎸 ── BOLLINGER ── (Bollinger Bands)


Identifies price at extreme levels relative to its recent range.


Bollinger Enabled (default: ON) β€” Master switch.

Bollinger Period (default: 20) β€” SMA period for the middle band.

Bollinger StdDev (default: 2.0) β€” Standard deviations. Higher = wider bands.

BB Mid Cross Check (default: ON) β€” Awards points when price crosses below the middle band (bearish signal).


🎯 Scoring: >90% of band = 15pts, >75% = 10pts, >60% = 5pts, Cross below middle = +5pts



πŸ”„ ── STOCHASTIC ──


Momentum oscillator that identifies overbought zones with %K/%D crossovers.


Stochastic Enabled (default: ON) β€” Master switch.

Stoch %K Period (default: 14) β€” Main stochastic line period.

Stoch %D Period (default: 3) β€” Signal smoothing period.

Stoch Slowing (default: 3) β€” Slowing factor.

Stoch Overbought (default: 80) β€” Both %K and %D above this = overbought.


🎯 Scoring: Both above OB = 10pts, %K crosses below %D in upper zone = +5pts



☁️ ── ICHIMOKU ── (Ichimoku Kinko Hyo)


The complete Japanese trend system. Checks cloud position and Tenkan/Kijun relationship.


Ichimoku Enabled (default: ON) β€” Master switch.

Tenkan-Sen Period (default: 9) β€” Conversion line (fast).

Kijun-Sen Period (default: 26) β€” Base line (slow).

Senkou Span B Period (default: 52) β€” Cloud boundary (long-term).


🎯 Scoring: Price below cloud = 12pts, Inside cloud = 5pts, Tenkan < Kijun = +5pts, TK cross down = +8pts



πŸ’ͺ ── ADX ── (Average Directional Index)


Measures trend strength regardless of direction. Combined with DI+/DI- shows bearish vs bullish.


ADX Enabled (default: ON) β€” Master switch.

ADX Period (default: 14) β€” ADX calculation period.

ADX Min Strength (default: 20) β€” Minimum ADX value to consider a trend "strong". Below 20 = no trend.


🎯 Scoring: ADX>20 AND DI- > DI+ (bearish trend) = 10pts, ADX>20 only = 3pts



πŸ“ ── CCI ── (Commodity Channel Index)


Measures price deviation from its statistical mean. High values = overbought.


CCI Enabled (default: ON) β€” Master switch.

CCI Period (default: 20) β€” Calculation period.

CCI Overbought (default: 100) β€” Above this = overbought. Extreme is +150.


🎯 Scoring: CCI>150 = 10pts, CCI>100 = 7pts, CCI falling from positive = 3pts



πŸ“ ── WILLIAMS %R ──


Similar to Stochastic but inverted scale (-100 to 0). Near 0 = overbought.


Williams %R Enabled (default: ON) β€” Master switch.

Williams %R Period (default: 14) β€” Lookback period.

Williams %R Overbought (default: -20) β€” Above this (closer to 0) = overbought zone.


🎯 Scoring: Above OB threshold = 10pts, Near OB zone = 5pts


βš™οΈ Calculated manually (not available as built-in in cAlgo): ((Highest High - Close) / (Highest High - Lowest Low)) Γ— -100



πŸ“Š ── VOLUME ──


Detects volume spikes β€” high volume on bearish candles confirms selling pressure.


Volume Enabled (default: OFF) β€” OFF by default because not all brokers provide reliable tick volume data.

Volume SMA Period (default: 20) β€” Simple moving average of volume for comparison.

Volume Spike Multiplier (default: 1.5) β€” Volume must be 1.5x the average to count as a spike.


🎯 Scoring: Volume spike on bearish bar = 8pts, Spike on any bar = 3pts


⚠️ Enable only if your broker provides real volume data. Tick volume on forex can be unreliable.



πŸ•―οΈ ── CANDLESTICK ── (Price Action Patterns)


Detects bearish candlestick patterns that signal reversals.


Candlestick Enabled (default: ON) β€” Master switch.

Shooting Star (default: ON) β€” Long upper wick + small body = rejection from above.

Bearish Engulfing (default: ON) β€” Current bear candle completely engulfs previous bull candle.


🎯 Scoring: Strong bear (marubozu) = 12pts, Shooting star = 10pts, Engulfing = +8pts, Normal bear = 5pts



πŸƒ ── MOMENTUM ── (Consecutive Bars + Rate of Change)


Measures sustained directional pressure β€” multiple bear bars in a row = strong momentum.


Momentum Enabled (default: ON) β€” Master switch.

Min Consecutive Bear Bars (default: 2) β€” Minimum bear bars in sequence to get points.

ROC Enabled (default: ON) β€” Rate of Change, how much price has dropped over N bars.

ROC Lookback Bars (default: 5) β€” Period for ROC calculation.


🎯 Scoring: 4+ bear bars = 10pts, 3 = 7pts, 2 = 4pts. ROC<-0.3% = up to 10pts, ROC<-0.1% = 4pts



πŸ—οΈ ── STRUCTURE ── (Rejection from High)


Measures how far price has fallen from its recent high β€” bigger drop = stronger rejection.


Rejection Enabled (default: ON) β€” Master switch.

Rejection Lookback Bars (default: 20) β€” Looks back N bars to find the highest high.


🎯 Scoring: Distance from 20-bar high > 0.2% = up to 8pts



πŸ“ ── ATR & SPREAD ──


ATR measures volatility. Used for dynamic SL/TP and as a quality filter. Spread filter prevents trading when costs are too high.


ATR Period (default: 14) β€” ATR calculation period.

Max Spread in pips (default: 5.0) β€” Signals are rejected if spread exceeds this. Set 0 to disable.


🎯 Scoring: ATR > 5 pips = +3pts bonus. Spread > 3 pips = -5pts penalty. Above max spread = signal killed.



🎯 ── SCORING ──


The scoring engine that combines all filters into a single 0-100 score.


Min Score to Signal (default: 35) β€” Score threshold to generate a signal. Lower = more trades, higher = fewer but stronger signals.

Debug Mode (default: ON) β€” Prints score of ALL assets periodically so you can calibrate.

Debug Print Every N Scans (default: 20) β€” How often to print debug info.


πŸ’‘ Typical scores: Flat market = 15-30, Weak signal = 30-40, Good signal = 40-60, Strong signal = 60+



🧠 ── AI ENGINE ──


Sends technical data to AI models for confirmation before opening a trade.


AI Mode (default: 0 = OFF) β€” 0 = Off (technical only), 1 = First AI that approves, 2 = Majority vote, 3 = All must agree.

AI Min Confidence (default: 70) β€” AI must respond with confidence >= this % to count as approval.



πŸ€– ── AI PROVIDERS (x12) ──


Each provider has 3 parameters: Enabled, API Key, Model.


1. CLAUDE (Anthropic) β€” Default model: claude-sonnet-4-20250514 β€” Cost ~$0.003/call β€” Best reasoning quality

2. GPT (OpenAI) β€” Default model: gpt-4o-mini β€” Cost ~$0.002/call β€” Balanced performance

3. GEMINI (Google) β€” Default model: gemini-2.0-flash β€” Cost ~$0.001/call β€” Cheapest option

4. DEEPSEEK β€” Default model: deepseek-chat β€” Cost ~$0.001/call β€” Budget option

5. GROK (xAI) β€” Default model: grok-3-mini-fast β€” Cost ~$0.003/call β€” Fast responses

6. MISTRAL β€” Default model: mistral-small-latest β€” Cost ~$0.002/call β€” European provider

7. GROQ β€” Default model: llama-3.3-70b-versatile β€” Cost ~$0.001/call β€” Ultra fast (~100ms response)

8. CEREBRAS β€” Default model: llama-3.3-70b β€” Cost ~$0.001/call β€” Ultra fast, wafer-scale chip

9. PERPLEXITY β€” Default model: sonar β€” Cost ~$0.003/call β€” Has built-in web search

10. OPENROUTER β€” Default model: llama-3.3-70b-instruct β€” Cost varies β€” Gateway to hundreds of models

11. TOGETHER β€” Default model: Llama-3.3-70B-Instruct-Turbo β€” Cost ~$0.001/call β€” Open source models

12. FIREWORKS β€” Default model: llama-v3p3-70b-instruct β€” Cost ~$0.001/call β€” Optimized inference


πŸ’‘ Recommended combo for Consensus mode: Claude + GPT + Gemini (3 different "brains", 2/3 must agree)



πŸ’° ── SIZING ── (Position Sizing)


Fixed Volume in Lots (default: 0.01) β€” Used when Risk % is set to 0.

Risk % per Trade (default: 0) β€” If greater than 0, calculates lot size automatically based on your balance and the SL distance. Example: 1% on $10,000 = max $100 risk per trade. The volume is calculated as risk amount / (SL pips Γ— pip value). Set to 0 for fixed lots.

Max Open Positions (default: 3) β€” Total positions across all assets.

Max Positions per Asset (default: 1) β€” Prevents doubling down on the same symbol.

Cooldown Between Trades (default: 60 sec) β€” Minimum wait time after a trade before the next one.



πŸ›‘οΈ ── SL / TP ── (ATR-Based Stop Loss & Take Profit)


SL and TP adapt automatically to each asset's volatility using ATR. No more fixed pips that make no sense across different instruments.


SL ATR Multiplier (default: 1.5) β€” SL = ATR Γ— 1.5. Wider = more room, tighter = more risk.

TP ATR Multiplier (default: 1.0) β€” TP = ATR Γ— 1.0. The default R:R is 1:0.67.

SL Min in Pips (default: 5) β€” Floor, SL never goes below this.

SL Max in Pips (default: 100) β€” Ceiling, SL never exceeds this (safety net).


πŸ“ Example with default 1.5/1.0: EURUSD ATR=8p gives SL=12p TP=8p. XAUUSD ATR=150p gives SL=225p TP=150p. US500 ATR=30p gives SL=45p TP=30p. Each asset gets its own proper levels.



πŸ”„ ── TRAILING ── (Trailing Stop)


Moves the SL in your favor as price drops (for shorts). Uses ATR of the specific asset.


Trailing Enabled (default: ON) β€” Master switch.

Trailing ATR Multiplier (default: 0.5) β€” Trail distance = ATR Γ— 0.5. Tighter than SL to lock profits.

Trailing Step Min (default: 1.0 pip) β€” Only moves SL if the new position is at least 1 pip better. Avoids micro-adjustments that spam the broker.



βš–οΈ ── BREAK EVEN ──


After a certain profit, moves SL to entry + small lock. Guarantees you don't lose on this trade.


Break Even Enabled (default: ON) β€” Master switch.

BE Activate After (default: 10 pips) β€” Break even activates when trade is 10 pips in profit.

BE Lock Profit (default: 2 pips) β€” SL moves to entry + 2 pips. You lock 2 pips of guaranteed profit, not just breakeven at zero.


πŸ’‘ Example: Entry at 1.0850. Price drops to 1.0840 (10p profit). SL moves from original level to 1.0848 (2p locked). Even if price reverses, you walk away with +2 pips.



βœ‚οΈ ── PARTIAL CLOSE ──


Closes a portion of the position at the first target, lets the rest run to full TP.


Partial Close Enabled (default: OFF) β€” Master switch.

Close % at TP1 (default: 50%) β€” Closes this percentage of the position at the first target.

TP1 ATR Multiplier (default: 0.7) β€” First target = ATR Γ— 0.7 (before the main TP).


πŸ’‘ Example: 0.10 lots open, ATR TP1 hit at 0.7xATR. Bot closes 0.05 lots (50%), pockets profit. Remaining 0.05 lots run to full TP at 1.0xATR. Best of both worlds.



🏦 ── PROP FIRM ──


Full prop firm rule compliance. Works with FTMO, The Funded Trader, MFF, and similar.


Prop Mode Enabled (default: OFF) β€” Master switch.

Starting Equity (default: 100,000) β€” Your prop firm account starting balance.

Max Daily Drawdown % (default: 4%) β€” If daily loss exceeds this, closes all positions immediately and stops trading for the day.

Max Total Drawdown % (default: 8%) β€” If total drawdown exceeds this, closes everything and locks the bot completely.

Trailing Max DD Enabled (default: ON) β€” The max DD floor rises with equity, like FTMO rules. If equity hits 105k, the floor becomes 105k minus 8% = 96.6k instead of the original 92k.

Daily Profit Target $ (default: 0) β€” If greater than 0, stops trading when daily P&L reaches this amount.

Stop on Daily Target Hit (default: OFF) β€” If ON, completely stops trading after hitting the daily target.


⚠️ When a drawdown limit is hit, the bot closes ALL positions immediately and sends a Telegram alert if configured.



⏰ ── HOURS ──


Start Hour UTC (default: 7) β€” Only trades from this hour.

End Hour UTC (default: 20) β€” Stops trading at this hour.

Close All at End Hour (default: OFF) β€” If ON, closes all open positions when trading hours end. Useful for intraday-only strategies.



πŸ“Š ── MTF ── (Multi-Timeframe Confirmation)


Before opening a short, checks if the higher timeframe also shows a bearish trend. Prevents shorting against the big picture.


MTF Enabled (default: ON) β€” Master switch.

HTF TimeFrame (default: Hour1) β€” The higher timeframe to check.

HTF Trend Method (default: 0) β€” 0 = Price below EMA, 1 = MACD bearish, 2 = Both must be bearish.

HTF EMA Period (default: 50) β€” EMA period on the higher timeframe.


πŸ’‘ Example: You analyze on M15, HTF is H1. If H1 price is above EMA50, the short signal is rejected because you'd be fighting the larger trend. This single filter eliminates a huge percentage of losing trades.



πŸ”— ── CORRELATION ──


Prevents opening multiple positions on correlated assets. Avoids hidden risk multiplication.


Correlation Filter Enabled (default: ON) β€” Master switch.

Max Same-Group Positions (default: 1) β€” Max positions in the same correlation group.


Built-in correlation groups:

πŸ‡ͺπŸ‡Ί EUR group: EURUSD, EURGBP, EURJPY, EURAUD, EURNZD, EURCHF, EURCAD

πŸ‡¬πŸ‡§ GBP group: GBPUSD, GBPJPY, GBPAUD, GBPNZD, GBPCAD, GBPCHF

πŸ‡―πŸ‡΅ JPY group: USDJPY, EURJPY, GBPJPY, AUDJPY, NZDJPY, CADJPY, CHFJPY

🦘 AUD/NZD group: AUDUSD, NZDUSD, AUDNZD, AUDJPY, NZDJPY, AUDCAD

🍁 CAD/CHF group: USDCAD, USDCHF, CADCHF, CADJPY

πŸ‡ΊπŸ‡Έ US Indices group: US500, US100, US30, USTEC, SPX500, NAS100, DJ30

πŸ₯‡ Metals group: XAUUSD, XAGUSD


πŸ’‘ If you're already short EURUSD and a signal fires on EURGBP, it's blocked because both are in the EUR group. Without this filter, you'd have double the risk on essentially the same bet.



πŸ”„ ── RECOVERY ── (Drawdown Recovery Mode)


Automatically reduces exposure after consecutive losses and stops trading after too many.


Recovery Mode Enabled (default: ON) β€” Master switch.

Reduce Lots After N Losses (default: 3) β€” After 3 consecutive losses, start reducing lot size.

Lot Reduction % (default: 50%) β€” Each additional loss reduces volume by another 50%.

Stop After N Losses (default: 6) β€” After 6 consecutive losses, stop trading for the day.


πŸ’‘ Example: Normal = 0.10 lots. After 3 losses = 0.05 lots. After 4 losses = 0.025 lots. After 6 losses = FULL STOP for the day. This prevents a bad day from becoming a catastrophic day.



🌍 ── SESSIONS ──


Restrict trading to specific market sessions for optimal liquidity and volatility.


Session Filter Enabled (default: OFF) β€” Master switch.

Trade London (default: ON) β€” 07:00-16:00 UTC. Best for EUR and GBP pairs.

Trade New York (default: ON) β€” 13:00-21:00 UTC. Best for USD pairs and indices.

Trade Asia (default: OFF) β€” 23:00-08:00 UTC. Best for JPY and AUD pairs. Lower volatility.



πŸ“… ── WEEKEND ──


Avoid Friday Afternoon (default: ON) β€” Stops trading and closes positions on Friday afternoon.

Friday Close Hour (default: 16 UTC) β€” The hour to close everything on Friday.


⚠️ Friday afternoon means low liquidity plus gap risk over the weekend. Highly recommended to keep this ON.



πŸ““ ── JOURNAL ── (CSV Trade Log)


Automatically records every trade to a CSV file for analysis in Excel or Google Sheets.


CSV Journal Enabled (default: ON) β€” Master switch.

CSV File Name (default: AIShortExplorer_Journal.csv) β€” File path and name.


The CSV contains: Date, Time, Symbol, Direction, Volume, EntryPrice, SL, TP, PnL, Pips, Comment, Duration. Import it into Excel weekly to review your performance and spot patterns.



πŸ“ˆ ── EQUITY MGMT ── (Equity Curve Management)


Advanced techniques to protect capital during losing streaks.


Max Consecutive Losses (default: 5) β€” Stops trading for the day after N consecutive losses. Prevents tilt trading.

Equity Curve Trading (default: OFF) β€” If your cumulative P&L drops below its EMA, stops trading. Resumes only when equity recovers above the EMA. This is what professional fund managers use.

Equity EMA Period (default: 10) β€” EMA period measured in number of trades, not bars.



⏱️ ── WARMUP ──


Warmup Bars (default: 50) β€” Skips the first N bars to let all indicators stabilize. Prevents false signals at bot startup when EMA200, Ichimoku, and other long-period indicators don't have enough data yet.



πŸ“± ── TELEGRAM ──


Real-time notifications to your phone via Telegram bot. Know exactly what your bot is doing without watching the screen.


Telegram Enabled (default: OFF) β€” Master switch.

Telegram Bot Token (default: empty) β€” Get this from @BotFather on Telegram.

Telegram Chat ID (default: empty) β€” Get this from @userinfobot on Telegram.

Alert on Trade Open (default: ON) β€” Sends notification when a short is opened, including symbol, price, score, SL, TP, and reasons.

Alert on Trade Close (default: ON) β€” Sends notification when a trade is closed, showing win/loss, P&L, pips, and daily stats.

Alert on Daily Report (default: ON) β€” Sends daily P&L summary at end of trading day.

Alert on Prop Firm Warning (default: ON) β€” Immediate alert when drawdown limits are approached or hit.


Setup in 2 minutes:

1. Open Telegram and search for @BotFather

2. Send /newbot and follow the instructions

3. Copy the bot token

4. Write any message to your new bot

5. Open https://api.telegram.org/bot<YOUR_TOKEN>/getUpdates in your browser

6. Find and copy the chat_id number from the response



πŸ”’ ── DAILY LIMITS ──


Max Trades per Day (default: 10) β€” After N trades, stops for the day. Set 0 for unlimited. Prevents overtrading on nervous/choppy days.

Max Wins per Day (default: 0) β€” After N wins, stops for the day. Set 0 for unlimited. This is "take the money and run" mode. If you hit 5 wins early, lock in the green day.



⏳ ── TIME EXIT ──


Closes stale trades that aren't moving. Frees up margin for better opportunities.


Time Exit Enabled (default: ON) β€” Master switch.

Close After N Bars (default: 20) β€” Close position after N bars from entry.

Only If In Loss (default: OFF) β€” If ON, only closes if the trade is currently in loss. Winning trades are left to run.


πŸ’‘ On M15 with 20 bars = 5 hours. If a trade hasn't moved in 5 hours, it's probably going nowhere and just consuming margin.



═══════════════════════════════════════════

πŸ“Š LIVE PERFORMANCE STATS

═══════════════════════════════════════════


Every 10 closed trades, the bot automatically prints a performance summary:


WinRate β€” Percentage of winning trades

AvgWin / AvgLoss β€” Average P&L per win and per loss in currency

PF (Profit Factor) β€” Total wins divided by total losses. Above 1.5 = good, above 2.0 = excellent

Expect (Expectancy) β€” Average profit per trade. Must be positive for a profitable strategy

Total P&L β€” Cumulative profit/loss since bot start



═══════════════════════════════════════════

⚑ RECOMMENDED CONFIGURATIONS

═══════════════════════════════════════════


🟒 CONSERVATIVE (Prop Firm Challenge)

Score Min: 50, Risk %: 0.5%, SL: 2.0xATR, AI Mode: Consensus, Max Trades/Day: 5, Recovery: ON after 3 losses, Prop Mode: ON, Daily DD: 4%, Total DD: 8%


🟑 BALANCED (Personal Account)

Score Min: 35, Risk %: 1.0%, SL: 1.5xATR, AI Mode: Off, Max Trades/Day: 10, Recovery: ON after 3 losses, Prop Mode: OFF, Correlation: ON


πŸ”΄ AGGRESSIVE (Demo Testing)

Score Min: 25, Risk %: 2.0%, SL: 1.0xATR, AI Mode: Off, Max Trades/Day: 20, Recovery: OFF, Debug: ON every 5 scans, All filters: ON



═══════════════════════════════════════════

⚠️ IMPORTANT NOTES

═══════════════════════════════════════════


πŸ”΄ SHORT ONLY β€” This bot never opens long positions

πŸ§ͺ Always test on demo first β€” Calibrate parameters for your broker and assets

πŸ’Έ AI costs money β€” Each AI call costs $0.001-0.01. With 3 AI and 20 signals/day that's about $0.10-0.50/day

πŸ”’ AccessRights: None β€” The bot uses cTrader's native HTTP API, no FullAccess needed

πŸ“ Journal is your best friend β€” Review the CSV weekly to find what works and what doesn't

πŸ”§ Debug Mode β€” Start with Debug ON and score min at 25 to see how the scoring behaves. Then raise the threshold once you understand the numbers



Built with 16 technical filters, 12 AI providers, professional risk management, and 1,893 lines of C#.

AI Short Explorer v4.0 β€” Professional Edition

About trial version
DEMO LIMITS: // - 10-day trial (multi-anchor: LocalStorage Device + Type + History + Positions) // - Demo accounts only (Account.IsLive blocks) // - Max 100 trades total during the entire trial (persistent counter)
Trading profile
Trading style
Scalping
Strategy type
Trend
Analysis type
Quantitative
Trade frequency
Low
Min recommended balance
$1000
Risk per trade
0.5%
Chart period
1 hour
Backtesting leverage
1:500
Daily drawdown limit
4%
Prop firm rule fit
Risk management
Risk model
Fixed lot
Fixed risk percentage
Volatility-based
Equity-based
Dynamic
Supported order types
Market
Max quantity (lots)
99
Supported risk controls
Stop loss
Take profit
Trailing stop loss
Break-even
Equity stop loss
Daily limits
News filter
Spread filter
Session filter
Max drawdown limit
0.0
Reviews: 0
Customer reviews
No reviews for this product yet. Already tried it? Be the first to tell others!
Consistent Returns
AI Integration
Aggressive
AI-assisted
HTTP Requests
Ichimoku
AI Trading
Products available through cTrader Store, including trading bots, indicators and plugins, are provided by third-party developers and made available for informational and technical access purposes only. cTrader Store is not a broker and does not provide investment advice, personal recommendations or any guarantee of future performance.

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