The Most Advanced MQL5 Trading Framework Ever Built
An institutional-grade pipeline where every trade passes through hard filters, gets scored by weighted indicators, and executes with retry logic and verified close.
Pass/fail gates that block trades before they reach the scoring engine. Session windows, spread limits, news impact, cooldown timers, and weekday restrictions.
Weighted 0–1 normalized score computed from 6 independent indicator slots. Each slot contributes its own weight to the composite entry signal.
Separate weighted exit score with its own threshold, independent from entry logic. Allows asymmetric entry/exit strategies.
CTrade-based execution with retry logic, verified close confirmation, and slippage protection. Every order is confirmed, not assumed.
5 trailing stop modes, break-even automation, partial close system, and scale-in engine. Active management from entry to exit.
Max daily/weekly P&L limits, equity curve trading, and recovery mode. The final safety net that overrides everything when risk thresholds are breached.
Every feature is configurable, documented, and designed to work independently or as part of the full pipeline.
Modular slot system with per-slot weights, timeframes, and indicator selection. Mix and match any combination.
Crossover, threshold, slope, histogram, and custom conditions for each indicator slot.
0–1 normalized composite scores with configurable thresholds for both entry and exit signals.
Pre-scoring gates that block trades based on session, spread, news, cooldown, and weekday rules.
Configure how the EA handles conflicting signals — close, reverse, or ignore opposing positions.
Automatic re-entry after stopped-out trades with configurable delay, conditions, and lot sizing.
Fixed, ATR-based, percentage, step-based, and swing trailing. Each with independent parameters.
Move stop loss to break-even after configurable profit threshold. Optional offset for guaranteed profit.
Take partial profits at multiple levels. Configure up to 3 partial close targets with percentage splits.
Add to winning positions with configurable conditions, lot multipliers, and maximum scale-in count.
Close positions after a maximum holding period. Prevents stale trades from consuming margin.
Trail stops using recent swing highs/lows. Adapts to market structure instead of fixed distances.
Hard P&L caps that halt trading when daily or weekly loss/profit targets are reached.
Monitor the EA's equity curve and reduce risk during drawdown periods automatically.
Intelligent lot sizing after losses to recover drawdown faster without martingale risk.
Automatic lot size adjustment based on account balance growth. Fixed, percentage, or Kelly criterion.
Allocate a daily risk budget and distribute it across trades. Prevents overexposure on a single session.
ATR-based volatility check that blocks entries when market conditions exceed or fall below thresholds.
Independent SL/TP/lot overrides for Asian, European, and American sessions.
Block trading outside specified hours. Configurable per server time or broker time offset.
Enable or disable trading on specific days. Avoid low-liquidity Mondays or volatile Fridays.
Block entries around high-impact economic events with configurable pre/post event buffers.
Maximum spread threshold that blocks entries when broker spreads widen beyond acceptable limits.
Require candle close confirmation before acting on signals. Prevents premature entries on partial candles.
Save and restore EA state across restarts, crashes, and terminal reconnections. No orphaned trades.
Automatic CSV export of every trade with entry/exit conditions, scores, and filter states.
Run multiple instances with coordinated risk management across symbols and timeframes.
On-chart display showing current scores, filter states, session, and risk metrics in real time.
Proprietary scoring metric for Strategy Tester optimization beyond standard profit factor.
Built-in support for MT5 Strategy Tester with optimized parameter ranges and custom criteria.
From basic trading engine to institutional-grade framework — every version built on the one before it.
Every dimension of code quality scored independently. Every score: S-rank, 100%.
Filter→Score→Execute pipeline, 6-slot modular system with clean separation of concerns.
6 risk layers: Trailing, Break-Even, Partial Close, Scale-In, Spread Filter, Cooldown.
Weighted Entry/Exit scoring, Hard Filters, Session Profiles, News Impact Filter.
15% comment ratio, 147 functions, 52 input groups — organized and navigable.
297 of 299 inputs documented — 99.3% coverage. Every parameter described.
22 error references, verified close with retry, GetLastError logging throughout.
Everything you need to understand, modify, deploy, and build on top of Nika EA.
Full source code (.mq5) — all 8,946 lines, uncompiled, fully readable and modifiable.
Complete version history — every version from V1.0 through V2.91, documenting the full evolution.
Build scripts and analysis tools — the same tools used to develop, test, and score the codebase.
Technical scorecards & documentation — PDFs covering architecture, risk systems, and code quality.
Lifetime updates — every future version (V3.0, V4.0, and beyond) at no additional cost.
Direct developer support — email support from the developer who wrote every line.
No subscriptions. No compiled black boxes. One payment, lifetime ownership of the complete framework.
Secure checkout via Stripe. Also accepting bank transfer and crypto — email contact@nikaquant.com
8,946 lines of production-grade MQL5 — not a script, a framework.
6 modular indicator slots with per-slot weights and independent timeframes.
Filter → Score → Execute architecture — the institutional pattern for systematic trading.
5 trailing stop modes including swing trailing that adapts to market structure.
3 session profiles with per-session SL/TP/lot overrides for London, New York, and Asia.
State persistence across restarts and crashes — no orphaned trades, no lost context.
Built-in trade journal with CSV export for post-trade analysis and equity tracking.
Multi-instance portfolio coordination across symbols and timeframes.
Custom NQ scoring metric for Strategy Tester optimization beyond profit factor.
99.3% input documentation coverage — 297 of 299 parameters fully described.
8,946 lines. 299 parameters. Full source code. One purchase. Build your trading edge on a proven foundation.
Get Nika EA — $9,000