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Stable Gold EA MT5 + Setfiles (No grid/No Martingle) Original price was: $899.00.Current price is: $399.00.
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Panda Hedging EA MT4 v1.85 with Setfiles Original price was: $499.00.Current price is: $39.00.

INDICEMENT EA MT4 V1.2 + Setfiles

SKU: INDICEMENT-EA-MT4

Indictment EA MT4 demonstrates 1.70-1.81 profit factor across US500, US30, NAS100 via multi-strategy automation – prop-ready 3.76% max DD MT4

Original price was: $499.00.Current price is: $49.00.

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Description

Table of Contents

    Indictment EA MT4 – Multi-Index Automation for US500, US30 & NAS100

    Indictment EA MT4 is a multi-strategy expert advisor targeting three major US indices — US500, US30, and NAS100 — running up to 4 simultaneous strategies per instrument on MT4. Backtest data (100% modeling quality, 2022–2024) establishes a profit factor of 1.70–1.81 and a peak equity drawdown of 6.79%–21.25% depending on capital configuration, across 6,220 trades. No live MyFxBook tracking is documented at time of listing.


    Key Benefits

    • Multi-Strategy Coverage: Up to 4 independent strategies per index (US500, US30, NAS100) — 11 active strategy slots across 3 instruments simultaneously.
    • Backtest Win Rate: 2022–2024 backtests validate 71.27% profitable trades across 6,220 total trades at 100% modeling quality.
    • Challenge-Ready DD: Prop firm preset holds max balance drawdown at 3.23% ($50K configuration) — compatible with FTMO-style daily and overall limits. Browse more prop firm EAs
    • NFP Risk Filter: Built-in NFP filter closes all trades 140 minutes before and blocks re-entry for 110 minutes after release — hard-coded event protection.
    • Scalable Capital: Verified across $500, $5,000, and $50,000 configurations with consistent strategy behavior — backtested results range from $500 → $450K to $5K → $1.8M (2022–2024, preliminary backtest data).

    Indictment EA MT4 Performance

    The 2022–2024 Strategy Tester report (100% modeling quality, 3,906,014 ticks, 3 symbols) establishes a profit factor of 1.70 and Sharpe ratio of 9.16 on a $5,000 starting balance, growing to $1.84M net profit over the period. The prop firm configuration ($50K) confirms a max equity drawdown of 3.76% — the most conservative result across all tested setups.

    The 2023–2024 run on a $500 deposit produces a higher-volatility profile: profit factor 1.41, peak equity drawdown 21.25%, and $475,576 net profit — reflecting the leverage amplification at minimum capital. Trajectory across all three configurations shows consistent positive LR correlation (0.84–0.99), with no structural deterioration between the 2022 and 2024 data windows.

    Indictment EA MT4 backtest report 2023-2024 $500 capital 475K net profit 21.25% equity drawdown
    2023–2024 backtest — $500 start, 21.25% peak equity DD
    Indictment EA MT4 backtest 2022-2024 $5000 capital 1.8 million net profit profit factor 1.70 Sharpe 9.16
    2022–2024 — $5,000 capital, 6.79% max equity DD, PF 1.70
    Indictment EA MT4 prop firm backtest 2022-2024 $50000 configuration 3.23% max drawdown profit factor 1.81
    Prop firm preset — $50K config, 3.76% max equity DD, PF 1.81
    Metric$500 Config (2023–2024)$5K Config (2022–2024)$50K Prop Preset (2022–2024)
    Tracking Period2023–20242022–20242022–2024
    Account Growth$500 → ~$476K$5K → $1.84M$50K → $196K
    Total Net Profit$475,576.42$1,839,318.22$146,208.97
    Peak Equity Drawdown21.25%6.79%3.76%
    Profit Factor1.411.701.81
    Win Rate70.59%71.27%71.27%
    Sharpe Ratio7.789.169.23
    Recovery Factor3.7213.7119.09
    Total Trades3,8286,2206,220

    The $500 configuration carries the most significant risk profile: peak equity drawdown of 21.25% with a worst consecutive loss sequence of 8 trades / -$54,363. This occurs as lot sizing amplifies at low balance levels under the “Max Risk Per Strategy” calculation method. At $5,000+, the same strategy produces a 6.79% peak equity drawdown with identical trade logic — demonstrating that capital floor directly governs drawdown magnitude. The prop firm preset caps maximum daily drawdown via reduced position sizing, delivering the 3.76% peak equity drawdown result suitable for challenge accounts.

    Backtest environment excludes real-time slippage and variable spread. Demo validation 60+ days before deploying live capital.


    How It Works

    Instruments: Trades US500, US30, and NAS100 (USTEC) simultaneously — 3 index CFDs per session.

    Strategy slots: Up to 4 independent strategies per instrument (US500: STRAT1–4, US30: STRAT1–3, NAS100: STRAT1–4) — each uses separate entry logic and magic numbers.

    Entry logic: Strategies trigger on broker time; buy and sell both enabled by default with optional direction filtering (Enable_Buy / Enable_Sell toggles).

    Lot sizing: Calculated via “Max Risk Per Strategy” method — default 3% risk per strategy, with $500 lot step intervals. Manual lot override available.

    Exit mechanism: Virtual SL/TP with optional break-even and trailing stop adjustments (AdjustSL, AdjustTP, AdjustTrailSL, AdjustBreakEven parameters).

    Event protection: NFP filter closes all open trades 140 minutes before NFP release and blocks new entries for 110 minutes after. AutoGMT handles timezone offset automatically.

    Exposure limits: Free margin check before every trade; optional max daily drawdown cap for prop firm accounts (Set Max DAILY Drawdown parameter).

    Optimal conditions: ECN/STP broker with tight index CFD spreads, VPS with low latency, US session active.

    Avoid when: Broker restricts US index CFD trading; account leverage below 1:30; capital under $500.

    Indictment EA MT4 input parameters panel 1 US500 US30 NAS100 strategy toggles symbol settings
    Input panel 1 — instrument toggles, symbol mapping, strategy slots
    Indictment EA MT4 input parameters panel 2 NFP filter lot sizing risk per strategy GMT offset settings
    Input panel 2 — NFP filter, lot sizing method, GMT offset, prop firm DD cap

    This EA requires MT4. Need MT5 platform support? Browse MT5 EAs


    Recommended Settings

    SpecificationRequirement
    PlatformMT4
    InstrumentsUS500, US30, NAS100 (USTEC) — index CFDs
    TimeframeBroker default (EA manages timing internally)
    Minimum Deposit$500
    Recommended Deposit$5,000–$50,000
    Leverage1:30 minimum; 1:100+ recommended for $500 accounts
    Broker TypeECN/STP — tight spreads on US index CFDs required
    Risk Per Strategy3% (default); reduce to 1–2% for prop firm challenges
    NFP FilterEnabled by default — AutoGMT on
    VPSRequired — continuous execution across 3 instruments

    Why Choose & Use This EA

    Purchase this EA if you:

    • ✅ Trade US index CFDs (US500, US30, NAS100) and need automated multi-strategy coverage across all three simultaneously.
    • ✅ Hold $5,000+ capital — below this, the Max Risk Per Strategy lot calculation amplifies drawdown to 21.25% peak equity at $500 (backtest result).
    • ✅ Run a prop firm challenge account ($50K+) — the dedicated prop preset keeps max balance drawdown at 3.23% across 2022–2024 backtest data.
    • ✅ Can operate a VPS 24/5 — simultaneous management of 11 strategy slots across 3 instruments requires uninterrupted execution.
    • ✅ Accept a max equity drawdown between 3.76% and 21.25% depending on capital configuration — not suitable for traders requiring drawdown below 3% at all capital levels.

    Performance verified with: ECN/STP broker environment, 100% modeling quality Strategy Tester, 2022–2024 period — no independent live account verification available at listing.


    Product Download Package Includes:

    • ✅ Indicement EA MT4 file (.ex4 format)
    • ✅ Presets:
      • Indicement_extreme_low risk.set
      • Indicement_Prop firm set.set
      • Indicement_extreme.set
      • Indicement_high risk.set
      • Indicement_medium risk.set
      • Indicement_low risk.set

    Product download link sent immediately via email after purchase


    Frequently Asked Questions

     

     

    >>> 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.

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