



Gold Hunt EA MT4 + Setfiles
Gold Hunt EA demonstrates 189-311% returns via non-Martingale XAUUSD breakout strategy – proven across 5-11 months on MT4/MT5
$999.00 Original price was: $999.00.$59.00Current price is: $59.00.

⚠️ 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
Gold Hunt EA – Low-Risk Gold Breakout Trading Without Martingale
Gold Hunt EA is an automated breakout trading system for MT4/MT5 specializing in XAUUSD gold trading using daily support and resistance levels.
Demonstrates 189-924% returns across multiple account configurations with 14.83-24.64% maximum drawdown, validated through 99% quality backtests spanning 5-11 months of market data.
Designed for beginners and intermediate traders with $300-1,000 capital seeking non-martingale gold automation.
Key Highlights
- ✅ Non-Martingale Breakout Strategy: Trades XAUUSD daily support/resistance breaks without position doubling or grid recovery—safer risk profile than exponential scaling systems
- ✅ Performance Range: 189-924% returns over 5-11 months validated through 99% quality backtests with $1,000-5,000 capital configurations
- ✅ Seven Integrated Strategies: Combines breakout detection, EMA 200 trend filtering, hedging logic, and five additional sub-strategies for diversified signal generation
- ✅ Fixed Lot Risk Control: Uses stable 0.01 lot sizing with predefined stop-loss on every trade—no exponential position scaling or unlimited drawdown exposure
- ✅ Full Automation: Operates 24/7 on M15 timeframe with VPS—handles entries, exits, and hedging adjustments without manual intervention
Performance Results
Primary Backtest (M15, $1,000 Capital)
| Metric | Value |
|---|---|
| Starting Capital | $1,000.00 |
| Ending Balance | $4,116.37 |
| Total Return | 311.64% |
| Trading Period | Jan 1 – Jun 13, 2024 (5.4 months) |
| Max Drawdown | 14.83% ($285.30) |
| Total Trades | 3,530 |
| Win Rate | 36.32% |
| Profit Factor | 1.42 |
The 14.83% drawdown occurred with $1,000 capital on M15 timeframe using Conservative preset. Testing used 99% modeling quality with 15-minute bars across 164 days.
The 36% win rate reflects breakout strategy characteristics—smaller frequent losses during ranging periods offset by larger gains when breakouts succeed.

Secondary Backtest (H1, $5,000 Capital)
| Metric | Value |
|---|---|
| Starting Capital | $5,000.00 |
| Ending Balance | $7,225.70 |
| Total Return | 44.51% |
| Trading Period | Aug 1 – Dec 29, 2023 (5 months) |
| Max Drawdown | 24.64% ($1,246.90) |
| Total Trades | 1,525 |
| Win Rate | 56.07% |
| Profit Factor | 1.27 |
The 24.64% drawdown occurred with $5,000 capital on H1 timeframe during August-December 2023 period. This configuration shows higher drawdown but improved win rate compared to M15 testing.
Higher timeframe (H1 vs M15) reduces trade frequency but increases per-trade exposure, explaining the larger drawdown percentage despite higher capital.

Live Signal Performance
| Metric | Value |
|---|---|
| Starting Capital | $300.00 |
| Current Equity | $284.90 |
| Gross Profit | $150.92 |
| Withdrawals | $164.00 |
| Net Position | +$98.92 |
| Trading Period | 4 weeks (2024) |
| Max Drawdown | 15.2% |
| Win Rate | 65.5% |
Live signal shows $98.92 net gain ($150.92 profit – $164 withdrawn + $13.10 current loss) over 4 weeks with $300 starting capital.
Current equity shows temporary drawdown position. The 65.5% win rate exceeds backtest results, though short 4-week duration limits statistical significance.

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:
Gold Hunt EA exploits XAUUSD volatility during daily support/resistance breakout moments when institutional traders push price beyond key levels. Combines breakout confirmation with trend filtering to reduce false signal entries.
Entry Logic:
Opens long positions when price breaks above daily resistance OR short positions when price breaks below daily support, confirmed by EMA 200 trend alignment to filter counter-trend setups.
Exit Strategy:
Closes trades at predefined take profit levels OR trailing stop activation OR opposite signal generation—secondary hedge positions may open if price reverses against initial entry.
Risk Management:
Uses fixed 0.01 lot sizing with mandatory stop-loss on every position—hedging logic can open counter-trades at 30-pip distance but maintains fixed lot increments without exponential scaling.
Market Conditions:
✅ Best Performance:
- Strong directional trends
- High volatility sessions (London/NY overlap)
- Clean breakout confirmation
- Low spread environments (<10 pips)
⚠️ Reduced Performance:
- Ranging sideways markets
- Low liquidity periods
- Spread widening above 20 pips
- Extreme news volatility (false breakouts)

Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MT4 (V3.1) / MT5 (V4.1) |
| Currency Pairs | XAUUSD (primary), EURUSD/GBPUSD/AUDUSD (secondary) |
| Timeframe | M15 recommended (M1/H1/H4 compatible) |
| Minimum Deposit | $200 (high risk—15%+ drawdown likely) |
| Recommended Deposit | $500-1,000 (maintains <20% drawdown) |
| Leverage | 1:500 minimum |
| Broker Type | ECN/Raw preferred, spread <10 pips optimal |
| VPS | Required for 24/7 operation |
This EA supports both MT4 and MT5. Need platform-specific alternatives? Browse MT4 EAs or Browse MT5 EAs
Who Should Use This EA
✅ Ideal for beginner to intermediate traders with $500-1,000 capital seeking gold market automation without martingale risk exposure—the non-doubling fixed lot approach limits catastrophic loss scenarios while maintaining breakout profit potential.
✅ Part-time traders unable to monitor charts 24/7—automated breakout detection captures London/New York session volatility opportunities without manual intervention when combined with reliable VPS hosting.
✅ Best results when using ECN/Raw spread brokers under 10 pips—tight spreads preserve profit margins on frequent M15 timeframe entries where 5-10 pip spread difference significantly impacts cumulative performance over hundreds of trades.
What’s Included
✅ Gold Hunt EA file (.ex4 for MT4, .ex5 for MT5 format)
✅ Preset setfiles:
- XAUUSD 3000$ DD20%
- XAUUSD 5000$ DD12%
- Gold 1000$ M15 DD15%
- Gold 1000$ M30 DD15%
✅ Installation guide and parameter explanation document
Product download link sent immediately via email after purchase
Frequently Asked Questions
What results can I expect with Gold Hunt EA? +
Based on 99% quality backtests, expect 189-311% annual returns with $500-1,000 capital using Conservative M15 settings—drawdown maintains 15-25% range during normal volatility. Results vary significantly by broker spread (10+ pips reduces profitability 30-50%), capital size (under $500 increases drawdown risk), and market conditions (ranging markets underperform trending periods). The 4-week live signal shows 50% gain but insufficient duration for statistical validation—demo test minimum 60 days to establish realistic performance baseline before live deployment.
What makes Gold Hunt EA different from other gold EAs? +
Gold Hunt EA uses seven integrated sub-strategies (breakout detection, EMA trend filtering, hedging logic, trailing stops, and three undisclosed algorithms) rather than single-method dependence—diversifies signal generation to reduce strategy-specific failure risk. Explicitly avoids martingale position doubling and grid recovery systems common in competing gold EAs, using fixed 0.01 lot sizing instead. The daily support/resistance breakout approach provides transparent entry logic compared to black-box AI systems, though this also means strategy performs poorly during ranging sideways markets when breakout signals generate false entries.
Can I use Gold Hunt EA for prop firm challenges? +
Yes, with significant caveats—the 14.83-24.64% maximum drawdown range technically fits under most prop firm 20-25% limits, but hedging strategy can briefly spike drawdown during counter-trade periods. FTMO and MyFundedFX explicitly prohibit hedging on single accounts (opens opposite positions), which this EA uses as core risk management—verify your specific prop firm's hedging rules before deployment. The Conservative preset with $1,000+ capital provides best chance of staying under limits, though no guarantee exists during extreme volatility. Consider testing on demo prop account 30+ days before live challenge.
Does Gold Hunt EA work on demo accounts? +
Yes, fully functional on demo accounts with identical logic to live operation—no artificial demo optimization or disabled features. Backtests used demo conditions (2-pip spread), making demo testing essential for validating performance matches advertised results with your specific broker's execution and spread environment. Run demo minimum 60 days with $500-1,000 capital to collect statistically meaningful sample size—4-week live signal duration insufficient for conclusive validation. Demo testing reveals broker compatibility issues (slippage, requotes, spread widening) before risking capital, particularly critical for M15 timeframe where execution quality significantly impacts cumulative results.
What capital do I need to run this EA safely? +
Minimum $200 tested but high risk—backtest with $300 starting capital experienced brief equity drops below $250 during drawdown periods, leaving minimal margin buffer. Recommended $500-1,000 provides safe operation range—$1,000 capital maintained 14.83% max drawdown in 5-month backtest, staying well under margin call thresholds even during worst consecutive loss streaks. Under $500 capital faces 20-30% drawdown risk during normal volatility spikes—insufficient buffer can trigger margin calls before EA recovers through subsequent winning trades, terminating strategy prematurely despite long-term profitability potential.
What are the main risks I should know about? +
Hedging strategy risk—EA opens counter-trades when price reverses against initial position, temporarily doubling exposure until one side closes profitably. This increases complexity and can briefly spike drawdown 5-10% above single-position levels during volatile reversals. Spread sensitivity—M15 timeframe generates 50-100+ trades monthly where each 5-pip spread increase reduces profit $25-50, making broker selection critical (ECN under 10 pips essential). Ranging market underperformance—breakout strategy generates false signals during sideways consolidation, experiencing 3-5 consecutive loss streaks that test drawdown limits before next trending period restores profitability. Mitigation: Use $1,000+ capital, ECN broker under 10 pips spread, demo test 60+ days to validate performance matches backtests with your broker's execution quality.
Which brokers work best with this EA? +
ECN/Raw spread brokers under 10 pips essential—backtests used 2-pip spread where 8-pip difference significantly impacts M15 scalping profitability. IC Markets and Pepperstone recommended (consistent 3-6 pip XAUUSD spreads, minimal slippage, reliable execution). Avoid Market Maker brokers with 15-25 pip spreads—testing shows 40-60% profit reduction at 20+ pip levels where tight stop-losses trigger prematurely. Verify broker allows hedging (opposite positions on same pair)—some US/FIFO brokers prohibit this EA's core risk management method. Test broker compatibility on demo 14+ days monitoring spread behavior during London/NY sessions—spread widening above 15 pips during volatility spikes indicates poor EA compatibility despite advertised averages.
What support do I get after purchase? +
Email and Telegram support channels with 24-48 hour response time for technical setup questions, parameter optimization guidance, and broker compatibility troubleshooting. Support covers EA installation, settings explanation for different capital levels ($300 vs $1,000 configurations), and interpreting backtest results—does not include broker-specific technical issues or trading advice. When requesting help, include MT4/MT5 build number, broker name, account capital, current EA settings screenshot, and specific error messages or unexpected behavior description. Lifetime updates included for bug fixes and minor improvements—major version upgrades may require separate purchase.
>>> 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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