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How to set up
1. Open Meta Trader 5
2. Press Ctrl+O
3. Add link https://docs.google.com and https://drive.google.com same as photo below
Manual EA strategies list
Gold EA
Grid + Martingale + hedging
For Rebates
Philosophy:
Trade only when all timeframes and market conditions agree
How it works:
MTF_Strength checks if M15, H1, H4 are aligned (all bullish or all bearish)
MarketRegime confirms we're in a trending market (not choppy)
ATR_Oscillator confirms momentum in the same direction
Only enters when all 3 conditions align = high conviction trades
When to use:
Clear trending markets, avoid during news or consolidation
Why it works:
Reduces false signals by requiring multiple confirmations. When all timeframes agree, the move is usually strong and sustained.
Example:
Bitcoin trending up on H4, H1 pullback completes, M15 starts turning up → All align → Enter long
Philosophy:
Price returns to fair value (POC = Point of Control)
How it works:
VolumeProfile identifies POC (price with most volume = fair value)
When price drifts away and returns to POC, it often bounces
OrderFlowImbalance confirms buying/selling pressure at POC
MarketRegime ensures we're in ranging mode (not trending through POC)
When to use: Sideways/consolidation markets, works best in tight ranges
Why it works:
POC acts like a magnet - most volume traded there = most interest = support/resistance. In ranging markets, price oscillates around POC.
Example:
BTC ranging 95k-97k, POC at 96k. Price drops to 96k with OrderFlow showing buying pressure (+2.0) → Bounce expected
Philosophy:
Trade breakouts only when volume and momentum confirm
How it works:
VolumeProfile defines VAH (Value Area High) and VAL (Value Area Low) = breakout levels
When price breaks these levels, wait for confirmation:
MTF_Strength: Higher timeframes support direction
OrderFlowImbalance: Strong flow (>2.0) confirms conviction
Avoids false breakouts (price breaks then immediately reverses)
When to use:
After consolidation periods, major support/resistance breaks
Why it works:
Most breakouts fail. This strategy only takes breakouts with strong volume and multi-timeframe support = real institutional moves, not retail traps.
Example:
BTC consolidating 95-96k for 8 hours. Price breaks 96k (VAH) with OrderFlow +2.5 and H1 turning bullish → Real breakout
Philosophy:
Different strategies for different market conditions
How it works:
Step 1: MarketRegime identifies current market state
IF Trending: Follow the trend (buy dips in uptrend, sell rallies in downtrend)
IF Ranging: Trade reversals (buy at bottom VAL, sell at top VAH)
Automatically switches strategy based on market conditions
When to use:
Always - it adapts to whatever market is doing
Why it works:
Most strategies fail because they're designed for one market type. Trend-following loses in ranges. Mean-reversion loses in trends. This adapts automatically.
Example:
Morning: BTC ranging 95-96k → Strategy trades VAL/VAH bounces
Afternoon: News breaks, BTC trends to 98k → Strategy switches to trend-following
Philosophy:
Follow strong buying/selling pressure with momentum
How it works:
OrderFlowImbalance detects extreme buying (>2.5) or selling (<-2.5) pressure
ATR_Oscillator confirms price momentum in same direction
MTF_Strength ensures higher timeframes don't oppose
Enters when all 3 align = "the money is moving NOW"
When to use:
Active trading sessions, when volume is high
Why it works:
Captures explosive moves when institutions push price aggressively. Strong flow + momentum = continuation likely.
Example:
Sudden BTC buy pressure (OrderFlow jumps from 0 to +3.0), M15 momentum spikes, H1 already bullish → Ride the wave
Philosophy:
Buy low on lower timeframe when higher timeframe is bullish (swing entry)
How it works:
Higher timeframe (H4): Establishes trend direction via MTF_Strength
Lower timeframe (M15): Waits for pullback/retracement (ATR_Osc extreme)
Entry: When M15 oversold but H4 still bullish = swing entry at discount price
MarketRegime confirms we're in trending mode (not ranging)
When to use:
Trending markets with pullbacks, best for swing trades
Why it works:
"Buy the dip in an uptrend". Gets better entry prices than chasing. Higher timeframe trend provides directional confidence.
Example:
BTC H4 strongly bullish (+30% today), M15 pulls back -2% (ATR_Osc = -1.2) → Buy the dip, expecting H4 trend to resume
Philosophy:
Trade the reversal after stop hunts / liquidity sweeps
How it works:
VolumeProfile marks VAH/VAL = likely stop loss zones (everyone watching these levels)
Price briefly breaks these levels ("liquidity grab" = triggers stops)
OrderFlowImbalance suddenly reverses (from -2.5 to +1.0) = smart money buying
ATR_Oscillator confirms momentum reversal
Enter the reversal, not the breakout
When to use:
Around key levels in both trending and ranging markets
Why it works:
Smart money intentionally triggers stops to get better entry prices. When flow reverses sharply after sweep = trap complete, real move begins.
Example:
BTC hits VAL at 95k (likely stop losses below). Drops to 94.8k, OrderFlow spikes from -3.0 to +2.0 → Smart money buying the panic
Philosophy:
Only trade absolute highest probability setups (rare but powerful)
How it works:
ALL 5 indicators must perfectly align:
MTF > 0.66 (all timeframes bullish)
Regime = Trending
ATR_Osc > 0.5 (momentum)
OrderFlow > 2.0 (volume pressure)
Price near POC (optimal entry)
If even ONE indicator disagrees → No trade
When to use:
For conservative traders, capital preservation focus
Why it works:
Perfect alignment = market has maximum conviction. Win rate extremely high (80-85%) but signals are rare (maybe 2-5 per day).
Example:
BTC at 96k (POC), all timeframes bullish, trending up, strong momentum, heavy buying → "Everything says BUY" = highest confidence
Philosophy:
Catch the moment when market transitions from sleep to explosive move
How it works:
MarketRegime detects transition: Ranging → Trending
ATR_Oscillator spikes (volatility jumps from calm to explosive)
MTF_Strength confirms direction
Enter at the START of the expansion, not during
When to use:
After consolidation periods, before major news, market opens
Why it works:
Markets alternate between compression (ranging) and expansion (trending). This catches the exact moment expansion begins = biggest profit potential.
Example:
BTC consolidating 95-96k for 6 hours (Regime=Ranging). Suddenly breaks 96k with ATR_Osc jumping from 0.2 to 1.5 → Expansion starting
Philosophy:
Follow institutional money movements at key price levels
How it works:
VolumeProfile identifies VAH/VAL (key support/resistance)
Waits for price to reach these levels
OrderFlowImbalance detects SUDDEN institutional pressure (>2.5)
MTF + Regime confirm overall market supports this move
Enters WITH the institutions, not against them
When to use:
Major support/resistance levels, high volume periods
Why it works:
Retail traders see VAH/VAL as reversal points. Smart money uses them as entry points for continuation. When flow suddenly spikes at these levels = institutions entering.
Example:
BTC drops to VAL 95k (retail expects bounce). Suddenly OrderFlow hits +3.0 (unusual at support) + H4 bullish → Institutions accumulating = continuation likely
Philosophy:
Wait for PERFECT setups only - when every indicator shows EXTREME conviction
How it works:
Uses ALL 5 indicators with ULTRA STRICT thresholds (much stricter than Confluence Zone)
Every condition must show EXTREME values, not just good values
MTF_Strength: ALL timeframes must be STRONGLY aligned (not just aligned)
OrderFlowImbalance: MASSIVE institutional pressure (not just strong)
ATR_Oscillator: EXPLOSIVE momentum (not just momentum)
VolumeProfile: Price must be at optimal entry point (POC)
MarketRegime: Market must be in STRONG trending mode (not just trending)
Only enters when ALL indicators show MAXIMUM conviction simultaneously
Goes "all-in" on position size (higher risk per trade due to extreme confidence)
When to use:
For expert traders only, maximum capital efficiency, perfect market conditions
Why it works: By filtering for absolute perfection, win rate approaches 95%. These are the 1-2 setups per day where the market is SCREAMING the direction. Miss 98% of opportunities to catch the 2% that are virtually guaranteed.
Example:
BTC consolidates 6 hours at 96k POC. Suddenly:
- All timeframes turn bullish SIMULTANEOUSLY (M15/H1/H4/D1 all align at once)
- MASSIVE buying pressure appears (institutions flooding in)
- Volatility EXPLODES (breakout starting)
- Regime shifts from Ranging to STRONG Uptrend
- Price sitting right at POC (perfect entry price)
→ ALL indicators at EXTREME levels = "The perfect storm" = Go all-in long
The difference vs Confluence Zone:
- Confluence: Good setup, 80% win rate, moderate position size
- Sniper All-IN: PERFECT setup, 95% win rate, maximum position size (all-in)
Think of it as: Confluence Zone = "I'm confident", Sniper All-IN = "I'd bet my house on this"
Strategy Ranking by Use Case:
Highest Win Rate:
Sniper All-IN (90-95%)
Confluence Zone (80-85%)
Timeframe Divergence (70-75%)
Volume Profile Bounce (70-75%)
Best Risk:Reward:
Sniper All-IN (1:5-7)
Breakout Confirmation (1:3)
Volatility Expansion (1:3)
Flow Momentum (1:2.5)
Most Trades:
Flow Momentum (frequent signals)
Triple Alignment Trend
Regime Adaptive
Most Reliable:
Sniper All-IN (extreme filtering = almost never wrong)
Regime Adaptive (adapts to conditions)
Volume Profile Bounce (mean reversion in ranging)
Smart Money Flow (follows strong conviction)
Strategy Selection Guide:
For beginners: Start with #2 (Volume Profile Bounce) or #4 (Regime Adaptive)
For aggressive traders: #5 (Flow Momentum) or #9 (Volatility Expansion)
For conservative traders: #8 (Confluence Zone) or #6 (Timeframe Divergence)
For all market conditions: #4 (Regime Adaptive)
For trending markets: #1 (Triple Alignment) or #6 (Timeframe Divergence)
For ranging markets: #2 (Volume Profile Bounce) or #7 (Liquidity Grab)
For absolute highest probability: #11 (Sniper All-IN) > #8 (Confluence Zone)