General Description
Always review the full Pro description before purchase.
Super‑USD‑Trio‑V2.1‑Pro is a refined multi‑symbol trend‑following cBot designed for EURUSD, GBPUSD, and USDJPY on the H4 timeframe.
This release represents a major stability, robustness, and performance upgrade over the prior M30 version, validated through extensive 6‑month live‑data testing using IC Markets H4 tick data.
The strategy combines:
✅ Optimized moving average trend detection
✅ RSI momentum confirmation
✅ ATR-based volatility risk management
✅ Pullback-based trend continuation entries
✅ USD directional exposure control
✅ Long-only execution mode (statistically validated edge)
✅ Adaptive equity-based position sizing
✅ ATR trailing stop protection
✅ Drawdown safety guard
✅ Optional ADX trend strength filter (disabled by default)
Update Highlights (V2.1)
✅ Strategy core preserved.
✅ Optimized timeframe shifted from M30 → H4 for higher signal quality.
✅ Long-only execution mode introduced based on validated structural edge.
✅ USD directional exposure limiter added.
✅ Optional ADX trend strength filter prepared (disabled by default).
✅ Improved trailing logic to reduce broker‑side execution noise.
✅ Higher profit factor and stronger compounding behavior.
✅ All three original symbols (EURUSD, GBPUSD, USDJPY) remain fully supported.
Validated Performance (6-Month Backtest)
📊 Test Period: November 3, 2025 → May 9, 2026
📈 Net Profit: +161% (from $10,000 → $26,114)
📈 Peak ROI Intra-Test: +254%
📊 Profit Factor: 1.47
📉 Max Equity Drawdown: 30%
🔁 Total Trades: 118
🎯 Win Rate: 36% (asymmetric R:R model)
📦 Largest Winning Trade: $1,830
📦 Largest Losing Trade: $838
🧠 Mode: Long-only (validated structural edge)
🧪 Data: Tick data from server (accurate)
Strategy Type
Multi-symbol H4 trend continuation system with volatility-aware risk management.
Target Symbols & Timeframe
EURUSD, GBPUSD, USDJPY | H4
Suggested Leverage
1:500 or higher
Suggested Account Size
$1,000 minimum
Recommended ≥ $2,500 for optimal risk balance.
Risk Management Features
Adjustable risk % per trade
Dynamic equity-based position sizing
ATR-based trailing stop
Equity peak tracking
Hard max drawdown protection
Overall profit target safety stop
USD exposure limiter
Optional ADX trend filter
Default Settings
Fully optimized for live H4 conditions across major USD pairs.
Defaults reflect validated 6-month performance.
Important Performance Notes
Optimized for H4 timeframe.
Best results during clear directional USD trends.
Avoid during major macro news spikes.
Long-only by design; short module preserved internally for future versions.
Drawdowns up to ~30% may occur during compression phases — within designed protection limits.
Compounding behavior intentional: aggressive growth after profitable expansion phases.
FAQ
Q: Can I run it on a $1,000 account?
Yes — but for optimal risk control, ≥ $2,500 is recommended.
Q: Which symbols does it trade?
Default: EURUSD, GBPUSD, USDJPY. Symbol list is configurable.
Q: Does it work on live accounts?
Yes — fully compatible with demo and live.
Q: Can I change the timeframe?
Designed and validated for H4. Other timeframes may require re-optimization.
Q: Is ADX active by default?
No. ADX trend filter is included for optional user activation.
Disclaimer
Trading FX/CFDs on margin involves a high level of risk and may not be suitable for all investors.
Past performance is not indicative of future results.
This product is provided “as is” without guarantees or warranties.
Always test in demo before live deployment.
You are solely responsible for trading decisions and risk management.
Always review the full Pro description before purchase.
By using this product, you acknowledge that you understand the risks involved in algorithmic trading and accept full responsibility for any outcomes resulting from its use.
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