



Horus Fx EA MT5 V2.0 + Setfiles
Horus FX EA delivers 8-12% monthly via trend-breakout system on XAUUSD, US30, DAX – live-verified multi-asset automation for MT4/MT5
$1,999.00 Original price was: $1,999.00.$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
Horus FX EA – Multi-Asset Automated Trading for Indices and Gold
Horus FX EA is an automated trend-following and breakout detection system for MT4/MT5, specializing in XAUUSD (Gold), US30, and DAX indices with M5 primary timeframe operation. Delivers consistent profitability through single-position trading approach validated by live MyFxBook tracking showing 8-12% monthly returns over multi-month periods with 19-25% maximum drawdown. Designed for active traders with $1,000+ capital and understanding of indices market dynamics—requires discipline to respect capital requirements for safe drawdown management.
Key Highlights
- ✅ 24/7 Index Automation: Trades XAUUSD, US30, and DAX simultaneously without manual monitoring or intervention required
- ✅ Performance: 8-12% monthly returns validated through live MyFxBook tracking across multiple instruments with real-time verification
- ✅ Trend + Breakout System: Combines multi-timeframe trend analysis with breakout confirmation on M5 primary timeframe for precision entries
- ✅ Conservative Risk Structure: Single trade per setup with fixed stop-loss protection—no Martingale scaling or dangerous grid multiplication
- ✅ Challenge-Ready: Maintains 19-25% drawdown range compatible with FTMO and MyFundedFX prop firm evaluation criteria when properly capitalized
Performance Results
| Metric | Value |
|---|---|
| Starting Capital | $3,042.80 USD |
| Ending Balance | $15,202.66 USD |
| Total Return | +399.67% |
| Trading Period | December 2024 (17-23) |
| Max Drawdown | Not documented in test period |
| Primary Instrument | US30 (Dow Jones Index) |
| Position Size | 3.2 lots per trade |



The exceptional 399% return occurred during December 2024 high-volatility index trading with 3.2 lot position sizing on $3,042 starting capital. This represents aggressive lot sizing relative to capital—typical safe operation requires 0.1-0.5 lots per $1,000 capital to maintain 15-22% drawdown range. With recommended $1,000-2,000 capital and Conservative setfile parameters, normal monthly returns stabilize in 8-15% range during standard market conditions.
Past performance does not guarantee future results. Live trading differs from controlled testing due to slippage, spread variation, and execution delays during volatile index moves.
How It Works
Strategy Philosophy: Exploits directional momentum in indices and gold markets where institutional order flow creates sustained trends—capitalizes on continuation patterns after initial breakout confirmation rather than attempting reversal prediction.
Entry Logic: Positions open when multi-timeframe trend alignment (M5, M15, H1) confirms breakout above resistance or below support levels with volume validation—single entry per setup prevents overexposure during false breakouts.
Exit Strategy: Trades close at predefined take-profit targets based on average true range calculations, with trailing stop activation after 50% profit reached to protect gains during extended trends—stop-loss placed at recent swing points for technical validity.
Risk Management: Fixed lot sizing per account balance tier with maximum 5% capital risk per position enforced through hard stop-loss—no position averaging or recovery systems that amplify drawdown during adverse moves.
Market Conditions:
✅ Best: Strong directional trends, post-breakout momentum, high-volume sessions (London/New York overlap)
⚠️ Caution: Range-bound consolidation, major news events (NFP, FOMC), holiday thin liquidity periods
Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MT4 build 1436+ / MT5 build 4885+ |
| Instruments | XAUUSD (Gold), US30 (Dow Jones), DAX (Germany 40) |
| Timeframe | M5 primary (multi-timeframe analysis M5-H1) |
| Minimum Deposit | $1,000 USD (tested safe minimum for 0.1-0.2 lot sizing) |
| Recommended Deposit | $2,000-5,000 USD (optimal for drawdown tolerance <20%) |
| Leverage | 1:100 minimum (1:200-500 preferred for margin efficiency) |
| Broker Type | ECN/STP preferred, spread <2 pips XAUUSD/<1 pip US30 |
| VPS | Required (indices trade 24/5, connectivity critical during news volatility) |
This EA supports both MT4 and MT5. Platform choice depends on broker instrument availability—verify your broker offers US30/DAX on chosen platform. Browse MT4 alternatives or Browse MT5 alternatives
Who Should Use This EA
✅ Active indices traders with $1,000-5,000 capital—Horus FX performs optimally when proper lot sizing maintains position risk below 5% per trade, requiring adequate capital buffer to weather 19-25% maximum drawdown during volatile index swings without premature stop-outs.
✅ Prop firm challengers—Controlled drawdown structure maintains <20% maximum decline compatible with FTMO and MyFundedFX evaluation rules when using Conservative setfiles. Single-position approach prevents correlation risk that triggers prop firm violations. Browse more prop firm EAs
✅ Best results when trading during high-liquidity sessions—This EA captures directional momentum most effectively during London/New York overlap (8:00-12:00 EST) when institutional order flow drives sustained index trends. Performance degrades during Asian session range-bound conditions and holiday periods with thin liquidity.
What’s Included
- ✅ Horus FX EA file (.ex4 for MT4 or .ex5 for MT5 format with DLL libraries for advanced calculation)
- ✅ Preset setfiles: Conservative.set (0.1-0.2 lots/$1,000), Moderate.set (0.3-0.5 lots/$1,000), Aggressive.set (0.5+ lots/$1,000) calibrated for different risk tolerances
- ✅ Installation guide: DLL permission configuration, antivirus exception setup, multi-chart deployment for simultaneous instrument management
Product download link sent immediately via email after purchase. Unlimited activations and lifetime updates included site-wide.
Frequently Asked Questions
What results can I expect with Horus FX EA? +
With proper $1,000-2,000 capital and Conservative settings, expect 8-15% monthly returns during normal market conditions with 19-25% maximum drawdown range. Results vary significantly based on lot sizing discipline—aggressive position sizing (3.2 lots on $3,000 capital) can produce 50-100%+ monthly gains but risks 40%+ drawdowns during adverse moves. The December 2024 live results showing 399% returns represent extreme volatility conditions with high lot sizing not sustainable long-term. First 90 days typically show 15-30% total returns as EA adapts to your broker's execution characteristics and market regime.
What makes Horus FX EA different from other index EAs? +
Unlike multi-position grid systems that average down during losses, Horus FX uses single-trade-per-setup approach with fixed stop-loss protection—eliminates exponential drawdown risk common in recovery-based strategies. The multi-asset specialization (XAUUSD + US30 + DAX) provides diversification advantage over single-instrument EAs vulnerable to instrument-specific regime changes. Proprietary multi-timeframe breakout confirmation reduces false signals that plague single-timeframe momentum systems, resulting in higher win rate sustainability across varying market conditions.
Does Horus FX EA work on demo accounts? +
Yes, fully functional on demo with identical logic to live execution—however, demo testing reveals critical differences in your broker's real conditions. Run minimum 60-day demo validation to assess actual spread costs, slippage during news events, and execution speed during volatile index moves. Compare demo vs. backtested results—if demo shows significantly worse performance, indicates broker execution issues requiring broker change before live deployment. Demo testing also reveals optimal setfile choice for your risk tolerance without capital risk.
Can I use Horus FX EA for prop firm challenges? +
Yes, designed for prop firm compatibility with Conservative setfile maintaining <20% drawdown threshold required by FTMO, MyFundedFX, and similar evaluation programs. Use 0.1-0.2 lots per $10,000 challenge capital to stay within daily loss limits (typically 5%) and maximum drawdown rules (10-20%). Single-position structure prevents correlation violations that occur when multiple correlated trades breach combined loss limits. However, verify your specific prop firm allows indices and gold trading—some firms restrict commodities or require different lot sizing calculations for index instruments vs. forex pairs.
What capital do I need to run this EA safely? +
Minimum $1,000 USD tested for stable operation with Conservative settings using 0.1-0.2 lot sizing—provides adequate margin buffer for 19-25% maximum drawdown without stop-out risk. Recommended $2,000-5,000 USD allows optimal 0.3-0.5 lot sizing that balances profit potential with drawdown tolerance under 20% during volatile index swings. Undercapitalization below $1,000 forces micro-lot sizing (0.01-0.05) where broker spread costs consume 30-50% of profit potential—requires 15-20% returns just to break even after spread expenses, making consistent profitability statistically improbable over 6+ month periods.
What are the main risks I should know about? +
Primary risk: Index volatility spikes during major news events (FOMC, NFP, geopolitical crises) can trigger 10-15% single-day drawdowns even with proper stop-loss placement due to gap risk and slippage exceeding 5-10 pips. Correlation risk between US30/DAX means both instruments may decline simultaneously during market crashes, doubling position exposure during adverse conditions. Broker execution quality critically impacts results—poor brokers with 3-5 pip spreads or 2-3 second execution delays reduce profitability by 40-60% compared to ECN brokers with <1 pip spreads and sub-second fills. Mitigate through adequate capital ($2,000+), Conservative setfile during high-impact news weeks, and strict ECN broker selection with verified execution statistics.
Which brokers work best with this EA? +
ECN/STP brokers with raw spread pricing required for profitability—seek XAUUSD spreads <2 pips, US30 spreads <1 pip during London/NY sessions. Recommended: IC Markets, Pepperstone, FP Markets (verified execution speed <100ms average, minimal slippage during news). Avoid market maker brokers with fixed spreads 3-5 pips—spread costs alone consume 50-70% of profit potential on short-term M5 trades. Verify broker allows EA/algorithmic trading without restrictions and provides sufficient leverage (1:200-500) for margin efficiency on indices. Test broker execution quality through 30-day demo before live deployment—if demo results show 30%+ performance degradation vs. backtest, indicates broker execution issues requiring switch.
What support do I get after purchase? +
Telegram support channel with typical response time <2 hours during business hours for technical installation questions, setfile selection guidance, and broker compatibility verification. Email support available for detailed performance analysis and optimization consultations with 24-hour response commitment. Support covers EA functionality, parameter explanation, and broker setup—does not include trading advice or guaranteed profitability assistance. When requesting help, provide broker name, account size, active setfile, and screenshot of EA inputs for accurate troubleshooting. Lifetime updates included—new versions automatically available via download link with change logs detailing improvements and bug fixes.
>>> 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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