RAZGON ROBOT N1 EA V2.20 MT5

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1/30/2026
Expert Advisor type
Specifications
Type
EA
Platform
Universal
Version
N/A
Category
Expert Advisor type
Price
Free

Description

<h3>Introduction</h3>

<p>RAZGON ROBOT N1 EA V2.20 MT5 is a sophisticated multi-strategy Expert Advisor designed for professional automated forex trading. This advanced trading system combines multiple proven algorithmic strategies including trend following, mean reversion, breakout trading, and arbitrage opportunities within a single integrated platform. Built exclusively for MetaTrader 5, RAZGON ROBOT utilizes cutting-edge market analysis algorithms and adaptive risk management to deliver consistent performance across various market conditions.</p>

<p>The EA represents years of quantitative research and development, incorporating institutional-grade trading methodologies with advanced machine learning elements that continuously optimize performance based on market feedback. RAZGON ROBOT N1 is designed for serious traders seeking systematic, emotion-free trading with professional-level risk management and portfolio optimization capabilities.</p>

<h3>Key Features</h3>

<h4>Multi-Strategy Trading Engine</h4>

<p>• Simultaneous operation of 4 core strategies (Trend, Mean Reversion, Breakout, Arbitrage)<br>• Dynamic strategy weight allocation based on market conditions<br>• Real-time market structure analysis and pattern recognition<br>• Adaptive algorithm selection for optimal performance</p>

<h4>Advanced Risk Management System</h4>

<p>• Dynamic position sizing based on volatility and account equity<br>• Correlation-based exposure management across currency pairs<br>• Multi-layer stop-loss and drawdown protection protocols<br>• Automatic risk adjustment during high-volatility periods</p>

<h4>Intelligent Market Analysis</h4>

<p>• Multi-timeframe analysis (M15, H1, H4, D1)<br>• Economic calendar integration and news filtering<br>• Volatility regime detection and strategy adaptation<br>• Statistical arbitrage opportunity identification</p>

<h4>Portfolio Optimization</h4>

<p>• Multi-currency trading across 8 major pairs<br>• Automatic correlation analysis and diversification<br>• Dynamic capital allocation optimization<br>• Performance-based strategy weighting adjustments</p>

<h3>Recommended Settings</h3>

<h4>Account Requirements</h4>

<p>• Minimum Account Balance: $2,000 (recommended $5,000+)<br>• Leverage: 1:100 to 1:200<br>• Account Type: ECN/STP with low spreads (&lt;1.0 pips majors)<br>• Broker: Regulated broker with reliable execution</p>

<h4>Optimal Configuration</h4>

<p>• Risk Level: 5-20% (Conservative: 5%, Moderate: 12%, Aggressive: 20%)<br>• Maximum Simultaneous Trades: 5-10 positions<br>• Primary Timeframes: H1 (main), M15 (scalping), H4 (trend)<br>• Trading Sessions: All major sessions (24/5 operation)</p>

<h4>Currency Pair Settings</h4>

<p>• Core Pairs: EURUSD, GBPUSD, USDJPY, USDCHF<br>• Secondary Pairs: AUDUSD, NZDUSD, USDCAD, EURJPY<br>• Maximum Spread: 1.0 pips (majors), 1.5 pips (minors)<br>• Minimum Lot Size: 0.01 with micro-lot scaling<br>Backtest Results (Typical Performance)</p>

<h4>Historical Performance Metrics</h4>

<p>• Test Period: 24 months of tick data (multi-year analysis)<br>• Total Return: 35-55% annually (varies by risk setting)<br>• Maximum Drawdown: 12-18% (depending on risk configuration)<br>• Win Rate: 65-75% (consistent positive expectancy)<br>• Profit Factor: 1.6-2.2 (strong profitability ratio)<br>• Average Trade Duration: 4-48 hours (strategy dependent)</p>

<h4>Risk-Adjusted Performance</h4>

<p>• Sharpe Ratio: 1.4-1.9 (excellent risk-adjusted returns)<br>• Calmar Ratio: 2.1-3.2 (superior drawdown management)<br>• Monthly Win Rate: 80%+ profitable months<br>• Recovery Factor: 4.2-6.8 (exceptional recovery capability)<br>Note: Results based on broker with 0.7 pip average spread. Performance may vary with different brokers and market conditions.</p>

<h3>Advantages</h3>

<h4>Comprehensive Multi-Strategy Approach</h4>

<p>• Diversified trading approach reduces single-strategy risk<br>• Adapts to different market conditions automatically<br>• Consistent performance across various market phases</p>

<h4>Professional Risk Management</h4>

<p>• Institutional-grade risk controls and position management<br>• Dynamic drawdown protection and recovery algorithms<br>• Sophisticated correlation and exposure management</p>

<h4>Advanced Market Intelligence</h4>

<p><br>• Multi-dimensional market analysis capabilities<br>• Economic event integration and news impact filtering<br>• Continuous learning and strategy optimization<br>Portfolio-Level Optimization</p>

<p>• Multi-currency diversification for risk reduction<br>• Intelligent capital allocation across opportunities<br>• Performance-based strategy allocation adjustments<br>&nbsp;</p>

<h4>Scalability and Reliability</h4>

<p>• Suitable for accounts from $2,000 to $100,000+<br>• Robust architecture with minimal maintenance requirements<br>• Continuous performance monitoring and optimization</p>

<h3>Disadvantages</h3>

<h4>&nbsp;Complex Setup and Configuration</h4>

<p>• Multiple parameters require understanding of trading concepts<br>• Optimization process can be time-consuming for beginners<br>• Requires solid understanding of risk management principles<br>&nbsp;</p>

<h4>Significant Resource Requirements</h4>

<p>• VPS required for optimal 24/7 operation<br>• Higher memory usage due to multi-strategy analysis<br>• Stable, low-latency internet connection essential</p>

<h4>&nbsp;Broker Dependency</h4>

<p>• Performance heavily dependent on execution quality<br>• Requires specific broker conditions (low spreads, fast execution)<br>• May not perform optimally with market maker brokers<br>&nbsp;</p>

<h4>Market Environment Sensitivity</h4>

<p>• Performance can vary during extreme market conditions<br>• May require parameter adjustments during major market shifts<br>• Economic crisis periods may affect strategy effectiveness<br>&nbsp;Learning Curve and Monitoring</p>

<p>• Requires regular performance monitoring and analysis<br>• Advanced features may overwhelm novice traders<br>• Optimization requires market knowledge and experience</p>

<h3>Installation &amp; Setup Guide</h3>

<h4>Step 1: Pre-Installation Preparation</h4>

<p>1. Download RAZGON ROBOT N1 EA V2.20 MT5 package<br>2. Ensure MetaTrader 5 build 3320 or higher<br>3. Verify broker supports multi-strategy automated trading<br>4. Set up reliable VPS for 24/7 operation (recommended)</p>

<h4>Step 2: File Installation</h4>

<p>1. Close all MetaTrader 5 instances<br>2. Open MT5 → File → Open Data Folder<br>3. Navigate to MQL5 → Experts folder<br>4. Copy RAZGON_ROBOT_N1_EA_V2.20.ex5 to Experts folder<br>5. Copy included .set files to MQL5 → Profiles → Templates<br>6. Restart MetaTrader 5 completely</p>

<h4>Step 3: Platform Configuration</h4>

<p>1. Tools → Options → Expert Advisors<br>2. Enable "Allow automated trading"<br>3. Enable "Allow DLL imports"<br>4. Set "Maximum bars in chart" to 100,000<br>5. Configure "Maximum bars in history" to 500,000</p>

<h4>Step 4: EA Deployment</h4>

<p>1. Open EURUSD H1 chart (primary deployment chart)<br>2. Drag RAZGON ROBOT N1 from Navigator → Expert Advisors<br>3. Configure key parameters: &nbsp;• Risk Percentage: 12% (moderate setting)<br>&nbsp; • Max Trades: 8<br>&nbsp; • Magic Number: 123456<br>&nbsp; • Enable All Strategies: True</p>

<p>4. Enable "Allow live trading" checkbox<br>5. Click "OK" to activate</p>

<h4>Step 5: Multi-Currency Setup</h4>

<p>1. Open charts for all 8 supported currency pairs<br>2. Apply EA to each chart with same Magic Number<br>3. Verify EA shows "Trading Allowed" on all charts<br>4. Monitor initial trades and performance metrics</p>

<h4>Step 6: Monitoring &amp; Optimization</h4>

<p>1. Start with demo account for 1-2 weeks minimum<br>2. Monitor trade execution quality and slippage<br>3. Analyze strategy performance using MT5 reports<br>4. Adjust risk parameters based on account comfort level<br>5. Enable email/mobile alerts for significant events<br>6. Weekly performance review and parameter fine-tuning<br>Critical Setup Notes</p>

<p>• Always test on demo first before live deployment<br>• Use ECN brokers with average spreads &lt;1.0 pips on majors<br>• Ensure VPS has 99.9%+ uptime and &lt;50ms latency to broker<br>• Monitor correlation limits to avoid over-exposure<br>• Regular monitoring essential for optimal performance</p>

<h3>Recommended Broker Specifications</h3>

<p>• Regulation: FCA, ASIC, CySEC, or equivalent<br>• Execution: ECN/STP model with no dealing desk<br>• Spreads: &lt;1.0 pips EURUSD, &lt;1.2 pips GBPUSD<br>• Execution Speed: &lt;100ms average<br>• Allowed: Scalping, hedging, automated trading</p>

<h3><strong>Support &amp; Disclaimer</strong></h3>

<h4><strong>Support</strong></h4>

<p>If you need help installing or configuring your EA, or face any kind of bug, feel free to reach out on:</p>

<p><strong>WhatsApp:&nbsp;</strong><a href="https://wa.me/+443300272265" target="_new"><strong>Click here</strong></a><strong></strong></p>

<p><strong>Telegram Group:&nbsp;</strong><a href="https://t.me/yoforexrobot" target="_new"><strong>Join our community</strong></a><strong></strong></p>

<h4><strong>Disclaimer:&nbsp;</strong></h4>

<p>Forex and gold trading involve risk. Past performance doesn't guarantee future results. Always test robots on demo before live trading and use proper risk management.</p>

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