







Diamond PRO EA MT4 V7.0 + Setfiles
Diamond PRO EA demonstrates 86-298% returns over 5+ years via multi-strategy grid with news filter – proven across EUR/USD H1 on MT4
$349.00 Original price was: $349.00.$49.00Current price is: $49.00.

⚠️ 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
Diamond PRO EA – Multi-Strategy Grid System with News Filter Protection
Diamond PRO EA is an automated multi-strategy trading system for MT4 using grid averaging, breakout detection, and trend following across EUR/USD. Demonstrates 86-298% returns over 5+ years validated through 99.9% quality backtests spanning 2018-2023 market cycles.
Designed for active traders with $500-1,000 capital and grid trading experience who understand recovery zone mechanics.
- Vendor website: Click here
Key Highlights
- ✅ 24/7 News-Aware Trading: Automatically pauses during high-impact events (NFP, FOMC) with customizable buffers to avoid volatile whipsaws
- ✅ Performance: 86-298% total returns over 5+ years validated through 99.9% modeling quality backtests across multiple capital scenarios
- ✅ Multi-Strategy System: Combines breakout detection, grid averaging with recovery zones, and trailing profit locks on EUR/USD H1 timeframe
- ✅ Risk Control: Fixed lot sizing with 10-39% maximum drawdown depending on capital—no Martingale doubling or exponential scaling
- ✅ Full Automation: Zero manual intervention with equity protection stops, breakeven triggers, and multi-level profit taking built-in
Performance Results

| Metric | Value |
|---|---|
| Starting Capital | $1,000 |
| Ending Balance | $87,298.91 |
| Total Return | 8,629.89% |
| Trading Period | 2018.01.02 – 2023.10.31 (5.8 years) |
| Total Trades | 5,701 |
| Win Rate | 88.83% |
| Profit Factor | 2.63 |
| Max Drawdown | 10.30% ($5,968) |

| Metric | Value |
|---|---|
| Starting Capital | $1,000 |
| Ending Balance | $2,421,002.71 |
| Total Return | 242,000.27% |
| Trading Period | 2018.01.02 – 2023.10.31 (5.8 years) |
| Total Trades | 5,700 |
| Win Rate | 88.92% |
| Profit Factor | 2.53 |
| Max Drawdown | 18.08% ($257,686) |


The multiple backtests demonstrate performance across different risk configurations. Conservative settings (1.25% risk) maintain 12-15% drawdown suitable for prop firm challenges. Aggressive settings show maximum profit potential but require $2,000+ capital to withstand 18% drawdown periods during volatile market cycles.
Backtest simulations differ from live trading conditions due to slippage and spread variation. Demo validation recommended 60+ days before live deployment.
How It Works
Strategy Philosophy: Exploits EUR/USD mean-reversion tendencies during ranging markets while capturing breakout momentum when trends establish. Grid zones provide cost averaging during pullbacks with built-in recovery mechanisms.
Entry Logic: Opens positions on consecutive signal confirmations across H1 timeframe using range expansion indicators (RangeHE/LE parameters set to 14 periods). Supports both long and short directions simultaneously based on volatility bands.
Exit Strategy: Closes trades at 10.0 pip take profit levels with trailing stop activation at 1.2x profit threshold. Additional exits triggered by breakeven locks at 0.9 profit level and maximum grid depth limits.
Risk Management: Controls exposure through 10-position maximum limit with equity-based stop at configurable Max DD threshold. Grid distances start at 15 pips expanding to 55 pips for recovery zones.


Market Conditions:
✅ Best: Ranging EUR/USD with 20-50 pip daily ranges, normal volatility sessions, Tuesday-Thursday core trading hours
⚠️ Caution: NFP/FOMC announcement days (auto-pauses), trending markets exceeding 100 pip moves, Friday afternoon low-liquidity periods
Technical Spectifications
| Specification | Requirement |
|---|---|
| Platform | MT4 build 1090+ |
| Currency Pairs | EUR/USD (optimized) |
| Timeframe | H1 (1 Hour) |
| Minimum Deposit | $500 (tested with 1.25% risk—expect 15% drawdown) |
| Recommended Deposit | $1,000-2,000 (safer drawdown tolerance 10-12%) |
| Leverage | 1:100 minimum (1:200+ preferred) |
| Broker Type | ECN/STP preferred, spread <2.0 pips average |
| VPS | Required (24/7 operation, news filter relies on continuous connection) |
This EA is MT4 only. Need MT5 platform? Browse MT5 alternatives
Who should use this EA
✅ Grid trading specialists with $500-1,000+ capital—this system requires understanding recovery zone mechanics and comfort with temporary floating drawdown during consolidation periods.
✅ Prop firm challengers managing FTMO/MyFundedFX accounts—conservative settings maintain <15% drawdown compatible with evaluation rules while targeting steady 8-12% monthly progress. Browse more prop firm EAs
✅ Best results when deployed on low-spread ECN brokers (under 2 pips EUR/USD) with stable VPS hosting during high-liquidity London/New York overlap sessions. The news filter protection maximizes effectiveness during scheduled economic releases.
Download Packges Included
- ✅ Diamond PRO EA file (.ex4 for MT4)
- ✅ Preset setfiles:
- JPY_H1_R1.5.set
- JPY_H1_R1.25.set
- JPY_H1_R1.set
- GBP_H1_R1.5.set
- GBP_H1_R1.25.set
- GBP_H1_R1.set
- EUR_H1_R1.5.set
- EUR_H1_R1.25.set
- EUR_H1_R1.set
- ✅ Installation guide with broker compatibility checklist
Product download link sent immediately via email after purchase
FREQUENTLY ASKED QUESTIONS
What results can I expect with Diamond PRO EA? +
Based on 99.9% quality backtests spanning 2018-2023, conservative settings (1.25% risk) demonstrate 8-12% monthly average with 12-15% maximum drawdown over 5+ year cycles. Actual results depend on your capital size, broker spread quality, and market volatility—ranging EUR/USD conditions produce best performance while strong trending periods may trigger temporary drawdown. Demo test minimum 60 days to validate performance matches your broker's execution environment before live deployment.
What makes Diamond PRO different from other grid EAs? +
Unlike unlimited grid systems that risk catastrophic drawdown, Diamond PRO enforces 10-position maximum with equity protection stops and includes intelligent news filter pausing during NFP/FOMC events when grids are most vulnerable. The multi-strategy approach combines breakout detection with grid averaging rather than pure martingale recovery, maintaining 2.5+ profit factor across 5,700+ backtested trades. Automated breakeven locks and trailing stops protect profits without manual monitoring.
Does Diamond PRO work on demo accounts? +
Yes, full functionality operates identically on demo and live accounts—use this for mandatory 60-90 day validation before risking capital. Demo testing reveals your specific broker's spread behavior, slippage patterns during news events, and actual drawdown tolerance with your chosen capital size. Monitor performance through at least one NFP cycle to verify news filter effectiveness, as this protection mechanism is critical for grid system survival.
Can I use Diamond PRO for prop firm challenges? +
Yes, when configured with conservative 1.25% risk settings on recommended $1,000+ capital—backtests show 12-15% maximum drawdown staying within FTMO/MyFundedFX 20% limits. Disable aggressive lot multipliers (keep RTMLot parameters at 1.27 default), set MaxLot to 5.0 maximum, and enable Max DD Control at 15% to create automatic safety threshold. The news filter protection is especially valuable during evaluation phases when single volatile event can breach drawdown rules.
What capital do I need to run this EA safely? +
Minimum $500 tested with 1.25% risk produces 15% drawdown during worst backtest periods—acceptable but tight margin. Recommended $1,000-2,000 capital reduces drawdown to 10-12% range providing comfortable buffer during multi-week consolidation phases when grid zones activate. Undercapitalization below $500 risks margin calls during recovery periods, as grid averaging temporarily increases exposure before mean reversion completes. Calculate position sizing through AutoLot feature based on your specific account balance.
What are the main risks I should know about? +
Grid recovery drawdown (10-18% depending on settings) occurs when EUR/USD trends strongly against positions before reversing—temporary but requires capital buffer to withstand. News event slippage despite filter protection if broker widens spreads beyond 5 pips during extreme volatility like surprise rate decisions. Broker execution quality significantly impacts results—poor fill speeds or requotes during grid position additions degrade performance versus backtest. Mitigate through proper capitalization, VPS hosting, and ECN broker selection with historical spread data verification.
Which brokers work best with this EA? +
ECN/STP brokers with consistent <2.0 pip EUR/USD spreads during London/New York sessions—test IC Markets, Pepperstone, or FXPro through demo first. Requires fast execution under 50ms average (check VPS proximity to broker server) as grid additions need quick fills during volatility spikes. Avoid market makers widening spreads beyond 3 pips during news—this breaks grid math and triggers premature stops. Verify broker allows hedging and grid strategies without restrictions, as some prop firms ban recovery-style EAs in terms of service.
What support do I get after purchase? +
Telegram group access with developer responses typically within 24 hours for setup questions, broker compatibility checks, and optimization guidance. Email support available for installation issues—provide MT4 build number, broker name, and screenshot of EA inputs when requesting help. Support covers configuration questions and troubleshooting but cannot guarantee specific profit results, as performance depends on your broker execution quality and market conditions. Community group provides peer assistance and settings discussions from active users.

>>> 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.
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