





Executor AI UltraX EA MT5 (Latest version) – Group Buy
Executor AI UltraX EA MT5 achieves 69.71% growth over 16 weeks via dual-model algorithmic trading – live-verified on real Weltrade account, MT5
$699.00 Original price was: $699.00.$99.00Current price is: $99.00.

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Main Slot Price: $99.00
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⚠️ Risk Disclosure
📉 General Risk: Forex trading carries high risk of loss. Only invest money you can afford to lose.
🤖 EA Risks: Automated systems can fail due to technical issues, market changes, or broker problems. Past performance does not guarantee future results.
✅ Requirements: VPS hosting recommended. Test on demo minimum 30 days before live trading.
⚠️ No Guarantees: We do not guarantee profits. 70-90% of retail traders lose money.
By purchasing, you acknowledge understanding these risks and accept full responsibility for trading outcomes.
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Description
Executor AI UltraX EA MT5 – Dual-Strategy Automated Trading for MetaTrader 5
Executor AI UltraX EA MT5 runs two independent strategy models across MT5, targeting consistent returns through algorithmic execution on a verified live account.
The live signal demonstrates 69.71% total growth over a 16-week verified Weltrade real account, with 89.3% profitable trades recorded.
Key Highlights
- ✅ Two independent strategy models — Model I (aggressive) and Model II (low risk) — run separately or combined
- ✅ Live verified account shows 69.71% growth over 16 weeks on a real Weltrade account
- ✅ 99.99% modelling quality backtests across 2010–2024 with profit factor of 18.64 (Low Risk model)
- ✅ Drawdown control: maximal backtest drawdown held at 4.50% (Aggressive) and 0.67% (Low Risk) across full test periods
- ✅ 99.25%+ win rate across both strategy models in independent backtests spanning 3,493+ trades
- ✅ 100% algorithmic execution — no manual intervention required after initial setup
Performance Results
Live Account Signal
The verified Weltrade real account recorded 69.71% total growth since January 2024, with a 5.06% average monthly return across the tracked period. The account ran 100% algorithmic trading with an 89.3% profit trade rate over 16 weeks of live operation.
2024 full-year performance reached 162.7% net profit before a 2025 partial-year drawdown of -35.4% reduced the cumulative figure. The live signal peaked near 200% growth in March–April 2024 before pulling back to approximately 75% by late 2024.


Risk disclosure: The live account reached a 50.2% maximum drawdown in 2025, driven by a sustained losing sequence on the aggressive risk configuration running a $500 starting balance with 1:1000 leverage — an extremely thin capital buffer relative to lot sizing. Control this risk by deploying a minimum $1,000 balance, selecting the Low Risk Strategy Model II, setting position sizing conservatively, and monitoring equity weekly. At this capital level with Low Risk settings, backtest data shows relative drawdown held at 13.83% across 14 years. A 50%+ drawdown at aggressive settings on undercapitalised accounts can require 6–12 months of recovery under normal market conditions — or may not recover at all if equity drops below margin thresholds.
Backtest Results — Strategy Model II (Low Risk, 2010–2024)
The Low Risk model demonstrates a profit factor of 18.64 across 3,493 trades from 2010 to 2024, with 99.26% profitable trades and a maximal drawdown of just 0.67% on a $10,000 starting balance. Modelling quality reached 99.99% using every-tick methodology.

Backtest Results — Strategy Model I (Aggressive Risk, 2020–2024)
The Aggressive model establishes a profit factor of 21.22 across 1,197 trades from 2020 to 2024, with 99.25% profitable trades and a 4.50% maximal drawdown. The 2024-only subset confirms a profit factor of 51.85 across 223 trades with 9.35% maximal drawdown.


Live signal tracked Jan 2024–early 2025 (Weltrade real account, verified). Backtest results differ from live trading due to slippage, spread variation, and real market conditions. The 50.2% live drawdown at aggressive settings on a $500 undercapitalised account confirms backtest metrics do not guarantee live performance. Run 90-day demo to validate under current market conditions before live deployment.
How It Works
Strategy: Dual-model algorithmic system — Model I (aggressive) and Model II (low risk) — operating independently on MT5 across currency pairs, exploiting defined entry patterns at high-precision tick resolution.
Entry: Algorithmic trigger conditions activate on confirmed price pattern signals; 99.99% tick modelling confirms precise execution timing.
Exit: Take profit and stop loss levels defined per trade; consecutive win streaks of 100+ trades recorded before single loss events.
Risk Control: Fixed lot sizing per model; stop loss applied per trade; maximum deposit load recorded at 10.5% in live conditions.
✅ Best conditions: Trending or ranging markets with normal spread • Low-volatility broker environments with spreads near documented test values (31–36 points) • Accounts capitalised at $1,000+ with Low Risk model selected
⚠️ Caution: Aggressive model on accounts below $1,000 with 1:1000 leverage — live account demonstrated 50.2% drawdown under these conditions • High-spread brokers above tested spread thresholds (36 points aggressive / 31 points low risk)
Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MetaTrader 5 (MT5) |
| Currency Pair | Not documented — confirm with seller before purchase |
| Timeframe | Not documented — check setup guide for requirements |
| Minimum Deposit | $500 (live signal used this — 50.2% DD recorded; high risk) |
| Recommended Deposit | $1,000–$2,000 (Low Risk Model II; safer drawdown range) |
| Leverage | 1:100 minimum; live signal ran 1:1000 (aggressive — not recommended) |
| Broker Type | ECN/STP preferred; spread ≤36 points (aggressive) / ≤31 points (low risk) |
| VPS | Required for 24/5 operation; GMT offset setup — confirm with seller |
This EA runs on MT5 only. Need an MT4-compatible alternative? Browse MT4 EAs.
Who Should Use This EA
✅ Ideal for:
- MT5 traders who want two configurable risk profiles in a single EA package
- Algorithmic traders comfortable with 90-day demo validation before deploying live capital
- Traders with $1,000+ capital who intend to run the Low Risk Model II to stay within manageable drawdown ranges
- Set-and-monitor traders who check equity weekly and can act on drawdown alerts without manual trade interference
✅ Best results when:
- Running Low Risk Model II on a $1,000+ account with conservative lot sizing from initial deployment
- Deployed on a VPS with a low-spread ECN broker operating within the documented spread thresholds
Download Package Included
- ✅ Experts: Executor AI UltraX EA file (.ex5 for MT5)
- ✅ Presets: Strategy Model I (Aggressive Risk) and Strategy Model II (Low Risk) — confirm exact preset file names with seller post-purchase
- ✅ Installation and setup guide
Product download link sent immediately via email after purchase.
Frequently Asked Questions
What results has the Executor AI UltraX EA MT5 actually produced? +
The live Weltrade real account recorded 69.71% total growth with 89.3% profitable trades over 16 weeks. Full-year 2024 net profit reached 162.7%. A 2025 partial-year drawdown of -35.4% reduced the cumulative figure — this occurred on a $500 account at aggressive settings with 1:1000 leverage. Backtests across 2010–2024 (Low Risk Model II) show a profit factor of 18.64 at 99.99% modelling quality. Live results and backtest results differ — run a 90-day demo before committing capital.
What is the difference between Strategy Model I and Strategy Model II? +
Model I (Aggressive Risk) produced a profit factor of 21.22 across 2020–2024 with 4.50% maximal backtest drawdown — higher reward, higher real-world risk as shown by the live account's 50.2% drawdown at aggressive settings. Model II (Low Risk) recorded a profit factor of 18.64 across 14 years (2010–2024) with only 0.67% maximal backtest drawdown. Both models run 99.99% modelling quality. For most traders, starting with Model II on a $1,000+ account is the lower-risk entry point.
Is the Executor AI UltraX EA MT5 suitable for prop firm challenges? +
The Low Risk Model II backtest shows a 0.67% maximal drawdown across 14 years — well within typical prop firm daily and total drawdown limits. The live account's 50.2% drawdown occurred specifically under aggressive settings on a severely undercapitalised $500 account. With proper capitalisation ($1,000+), conservative settings, and a 60-day demo validation, this EA warrants consideration for prop evaluations — but verify your firm's specific rules and run a full demo cycle before any funded account deployment.
How accurate are the backtest results for this EA? +
All three backtests use 99.99% modelling quality with every-tick methodology — the highest precision available in MT5 Strategy Tester. Zero mismatched chart errors were recorded across all tests. Spread was set to current market levels (31–36 points depending on model) rather than fixed ideal values. These are among the most rigorous backtest conditions possible, but they still cannot replicate real broker requotes, slippage spikes, or liquidity gaps. The live account's 50.2% drawdown at aggressive settings confirms backtest metrics are not a performance guarantee.
What is the minimum capital required to run this EA safely? +
The live signal ran on $500 — and reached a 50.2% maximum drawdown at aggressive settings. We recommend a minimum of $1,000 with Low Risk Model II selected, which aligns with the backtest scenario showing 13.83% relative drawdown across 14 years. A $2,000 starting balance provides meaningfully better drawdown tolerance on the aggressive model. Do not run Model I at aggressive risk settings on accounts below $1,000.
What are the real risks of running this EA and how do I manage them? +
The primary risk is the 50.2% maximum drawdown recorded on the live account, caused by running the aggressive risk configuration on a $500 undercapitalised account at 1:1000 leverage — the position sizing relative to account equity created extreme vulnerability to any losing trade sequence. Manage this by: setting a minimum $1,000 balance, selecting Low Risk Model II, using a VPS to avoid missed entries, and checking equity weekly. At recommended settings, backtest data suggests relative drawdown of 13–15% under normal conditions. Recovery from a 50%+ drawdown at aggressive settings can take 6–12 months or may require account restart.
What broker should I use with the Executor AI UltraX EA MT5? +
Use an ECN or STP broker with MT5 support and spreads at or below the tested thresholds: ≤36 points for Model I (aggressive) and ≤31 points for Model II (low risk). The live signal ran on Weltrade at 1:1000 leverage — high leverage contributed to the 50.2% drawdown. A leverage of 1:100 to 1:200 on a properly capitalised account is more appropriate for most traders. Avoid market maker brokers with variable spreads that spike significantly above tested levels.
What support do I get after purchase? +
You get direct support from our team through Telegram (t.me/besteaforex6868) and email ([email protected]). We typically respond within 2-4 hours during business hours (GMT+0). Our support covers: EA installation guidance, settings optimization for your broker, and troubleshooting technical issues. When contacting us, please include: your email, order ID, and screenshots of any error messages for faster resolution.
>>> Curated/Reviewed by Steven Cohen (Founder).
⚠️Risk Disclaimer:
Forex trading and EAs carry high risk of loss. Only invest what you can afford to lose. Past performance does not guarantee future results. 70-90% of retail traders lose money.
⚠️ Risk Disclosure
📉 General Risk: Forex trading carries high risk of loss. Only invest money you can afford to lose.
🤖 EA Risks: Automated systems can fail due to technical issues, market changes, or broker problems. Past performance does not guarantee future results.
✅ Requirements: VPS hosting recommended. Test on demo minimum 30 days before live trading.
⚠️ No Guarantees: We do not guarantee profits. 70-90% of retail traders lose money.
By purchasing, you acknowledge understanding these risks and accept full responsibility for trading outcomes.
Specification
| Product type |
Fix/NoDLL |
|---|---|
| Trading platform |
Metatrader 4 |
| Version |
Updated |
| Setfiles |
Yes |
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