About me
I build automated trading systems for MetaTrader 5, focused on gold (XAUUSD) and FX majors. I build them around one principle: protect the account first — and I put every one through exhaustive historical real-tick testing before it ever reaches you.
I engineer against ruin, not for the biggest number. I judge every system on two things — what it returns and what it survives. If a configuration can't pass my own drawdown limit, it doesn't ship, no matter how good the profit looks. I would rather give you a steady, survivable system than a flashy one that ends an account on its first bad month.
How I build. I study the trading approaches that genuinely work across years of market data, isolate what actually gives them their edge, and rebuild them with disciplined risk control: a hard stop on every trade where the strategy allows it, equal-lot recovery instead of martingale doubling, account-level safety breakers, and position sizing that is a fixed percentage of balance. I don't add rules I can't explain — every filter has to map to a real market mechanism, and it has to hold across several different market regimes, including the difficult years, before I trust it. I avoid curve-fitting on principle.
I test on real-tick data, and I read the equity curve — not just the summary. A profit factor means little to me until I have seen how and when the drawdowns actually happened. I validate across separate time periods, including stressful ones, and I judge a system by how it behaves in the bad conditions, not the good ones.
I tell you the truth about drawdown. Every product page states the tested drawdown openly, labels its results clearly as backtests, and discloses the limitations — a shorter test window, a deeper recovery event, or a weaker period — instead of hiding them. I would rather you buy with clear eyes than be surprised later. Honesty is the part of this work I am least willing to compromise.
What you get from me. Each EA runs out of the box on a tested, conservative configuration with no set file required, and a single risk setting to match it to your account size. The manuals explain the why, not just the how — including where the risk really lives. I encourage you to test every system on a demo account with your own broker before going live.
Trading leveraged products carries a real risk of loss, and past performance never guarantees future results. I cannot promise you a return — no honest developer can. What I can stand behind is the way I work: edges grounded in real market behaviour, risk controlled by design, and every result reported honestly for exactly what it is.