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Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 1
StratVector Diversified5
cBot
Tested on FxPro
Version 1.0, Sep 2026
Windows, Mac, Mobile, Web
1.44
Profit factor
14.92%
Max drawdown
Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 2
Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 3
Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 4
Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 5
Trading product for StratVector Diversified5 cBot Position Sizer ADX, image 6
Since 21/09/2026

Description

StratVector Diversified5 is a multi-strategy cBot that combines five independent trading systems across Bitcoin, Polkadot, Ethereum, Gold and XRP in one automated portfolio.

The portfolio uses a mix of breakout, trend-following and intermarket concepts. Long and short strategies are combined so the system is not dependent on one single market direction or one single strategy.

Portfolio structure

• Bitcoin - Donchian breakout, Long, H6
• Polkadot - Volatility breakout, Short, H4
• Ethereum - Keltner breakout, Long, H4
• Gold - XAU/XAG intermarket divergence, Long, H4
• XRP - ADX/DMI trend strategy, Short, H4

Risk management

Position sizing is based on current account equity. Compounding is always enabled.

Customers can adjust:

• Risk per Trade: 0.10% to 1.00%
• Max Total Open Risk: OFF or 1% to 5%

Default settings are 1.00% Risk per Trade and 5% Max Total Open Risk.

Max Total Open Risk limits the total planned risk reserved across all simultaneously open positions. At the 1% / 5% default, up to five full 1% risk reservations can be held if valid signals and broker conditions allow.

If a new trade would exceed the portfolio risk cap, the entry is rejected rather than resized. Available risk capacity does not guarantee that five positions will be open at the same time. Positions are opened only when valid strategy signals occur.

Final native cTrader backtest

cTrader 5.9.16
FxPro Demo
Initial balance: $10,000
Leverage: 1:30
Period: 3 May 2023 - 14 August 2026
Risk per Trade: 1.00%
Max Total Open Risk: 5%

Net profit: $17,162.31
Total return: +171.62%
Profit Factor: 1.44
Maximum balance drawdown: 14.92%
Maximum equity drawdown: 16.56%
Transactions: 343
Winning transactions: 131
Losing transactions: 212
Average transaction: $50.04
Largest win: $1,080.05
Largest loss: -$436.98
Commission: -$126.44
Swap: -$1,299.13

Long net profit: $13,270.32 / Profit Factor 1.56
Short net profit: $3,891.99 / Profit Factor 1.25

Backtest results are historical and depend on broker data, spreads, commissions, swaps, symbol specifications and execution conditions. Live results can differ materially. This backtest is not a guarantee of future results.

Minimum recommended account balance: $1,000. The final verified backtest was performed with a $10,000 initial balance. Smaller accounts may be more affected by broker minimum volume requirements and symbol specifications.

Summary

Trading profile
Trading style
Swing trading
Strategy type
Breakout
Analysis type
Algorithmic
Technical
Trade frequency
Low
Min recommended balance
$1000
Risk per trade
1%
Chart period
4 hours
Backtesting leverage
1:30
Risk management
Risk model
Fixed risk percentage
Equity-based
Dynamic
Supported order types
Market
Supported risk controls
Stop loss
Take profit
Trailing stop loss

Customer reviews

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Discussion

FAQ

Position Sizer
ADX
Fixed Risk %
Keltner Channels
Donchian Channels
Trailing Stop
Low Frequency
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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Price

Since 21/09/2026