




StorageFX EA MT4 + Setfiles
StorageFX EA achieves 996% over 45 days via triple-filter precision system – live-verified EURUSD scalping on MT4 with controlled risk
$1,200.00 Original price was: $1,200.00.$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.
-
Original High-Quality Product -
One all-inclusive price. No hidden fees
-
Immediate download -
Free updates for new versions -
Unlimited Activations -
24/7 free premium Support -
7-day money-back guarantee
Guaranteed Safe Checkout
Description
StorageFX EA – Multi-Strategy Automated System for MT4
StorageFX EA is a multi-indicator automated trading system combining Laguerre Filter, dSU-Squeeze Index, and Half Trend algorithms for EURUSD on MT4. Live verification through RoboForex demonstrates 996% growth over 45 days with controlled drawdown, validated through real account tracking with verified status.
Key Highlights
- ✅ Triple-Filter Precision: Combines Laguerre oscillator, momentum squeeze detection, and adaptive trend analysis across 5-period to 90-period timeframes for multi-confirmation entry logic.
- ✅ Live Performance: 996% absolute profit tracked over 45 days through verified MyFxBook account with RoboForex, demonstrating real execution capability in cent account conditions.
- ✅ Adaptive Strategy: Uses convergence factor 50 correlation analysis with configurable gamma 0.85 Laguerre smoothing, operating on M5-M15 timeframes for EURUSD scalping opportunities.
- ✅ Configurable Risk Control: User adjusts fixed lot sizing (0.1 default), stop loss/take profit pairs (200 pips each), and martingale coefficient (1.5x on new signals) with equity-based absolute stop protection at $100 threshold.
- ✅ 24/7 Automation: Includes time-based equidistant breaking filters and news avoidance system covering USD/EUR/GBP/CHF/CAD/AUD/NZD/JPY pairs with 10-minute pre/post-event buffers.
Performance Results
| Metric | Value |
|---|---|
| Initial Balance | $124.30 (Jun 4, 2025) |
| Current Balance | $1,362.00 (May 30, 2025) |
| Absolute Profit | +995.75% |
| Trading Period | 45 days (Apr 16 – May 30, 2025) |
| Max Drawdown | 31.19% |
The 31% drawdown occurred during aggressive capital scaling on a $124 cent account—micro-capital testing that amplifies percentage swings. Control this by starting with $500-1,000 standard account capital, using 0.05-0.1 fixed lots, and enabling the absolute stop loss at $100-200 equity protection. Expect 15-20% typical drawdown with proper capitalization, recovering within 2-3 weeks during trending EURUSD conditions.
Past performance does not guarantee future results.


How It Works
Strategy: Multi-indicator convergence system analyzing EURUSD on M5-M15 timeframes using Laguerre Filter (gamma 0.85), dSU-Squeeze momentum compression (50 convergence factor), and Half Trend direction confirmation across 5-90 period moving averages to exploit short-term momentum shifts.
Entry: Long when Laguerre crosses above 45 level + dSU-Squeeze rises above 80 zone + Half Trend confirms upward close/tick volume divergence. Short on opposite convergence with correlation period 20 price validation.
Exit: Fixed 200-pip take profit primary target with 200-pip stop loss protection. Profit lock activates at 100 pips (no-loss stop adjustment) with optional trailing once position reaches defined thresholds.
Risk Control: Fixed 0.1 lot sizing with 1% account risk option, 25-pip max spread filter, and absolute $100 equity stop loss override. Martingale applies 1.5x multiplier only on new signal generation (not grid recovery).
✅ Best conditions: EURUSD trending sessions • London/NY overlap hours • Moderate volatility 15-25 pips/hour • Clean price action without whipsaws
⚠️ Caution: Low liquidity Asian hours • High-impact USD/EUR news events • Spread widening above 25 pips


Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MT4 build 1370+ |
| Currency Pairs | EURUSD (optimized), adaptable to majors |
| Timeframe | M5-M15 recommended |
| Minimum Deposit | $500 (higher risk – 25-35% DD potential) |
| Recommended Deposit | $1,000-2,000 (controlled 15-20% DD range) |
| Leverage | 1:100 minimum (1:500 tested) |
| Broker Type | ECN/STP preferred, max spread 25 pips |
| VPS | Required (24/7 operation, news monitoring) |
This EA is MT4 only. Need MT5 platform? Browse MT5 alternatives
Who Should Use This EA
✅ Ideal for:
- Active EURUSD traders with $1,000+ capital seeking automated multi-indicator confirmation systems for M5-M15 scalping strategies
- Intermediate traders comfortable managing martingale coefficients and understanding convergence-based momentum filters with 20-30% drawdown tolerance
- VPS users requiring 24/7 operation during London/NY sessions with news event avoidance across 8 major currency economic calendars
✅ Best results when:
- Starting with recommended $1,000-2,000 capital, 0.05-0.1 fixed lots, and enabling absolute equity stop loss at $200 threshold for controlled risk exposure
- Demo testing 60+ days to validate broker spread consistency under 25 pips and confirm Laguerre/dSU-Squeeze filter performance during your trading sessions
What’s Included
- ✅ StorageFX EA file (.ex4 for MT4)
- ✅ Preset setfiles: Xauusd M1.set
Product download link sent immediately via email after purchase
Frequently Asked Questions
What results can I expect with StorageFX EA? +
Expect 8-15% monthly returns with proper $1,000+ capitalization during trending EURUSD conditions, based on 45-day live verification showing 996% growth on micro-capital testing. Results vary significantly with capital size—the verified cent account amplified percentage gains due to $124 starting balance. Conservative users with $1,000-2,000 capital should target 15-20% typical drawdown ranges with 2-3 week recovery periods during momentum-driven London/NY sessions. Performance depends on broker spread consistency under 25 pips, VPS uptime for 24/7 operation, and news filter effectiveness across 8 monitored currencies.
What makes StorageFX EA different from other EAs? +
StorageFX combines three independent confirmation filters—Laguerre oscillator smoothing, dSU-Squeeze momentum compression detection, and Half Trend directional analysis—rather than relying on single-indicator signals that produce false breakouts. The convergence factor 50 correlation system requires alignment across 20-period price validation before entry, reducing whipsaw trades common in standard moving average crossover systems. Unlike grid or martingale recovery EAs, this applies 1.5x position sizing only on new signal generation (not failed trade recovery), limiting exponential risk. The integrated news avoidance monitors 8 major currencies with 10-minute buffer zones, automatically pausing during high-impact events.
Does StorageFX EA work on demo accounts? +
Yes, StorageFX operates identically on demo and live accounts for MT4 platforms. Demo testing is mandatory 60+ days to validate: (1) broker spread consistency staying under 25-pip threshold during your trading hours, (2) Laguerre/dSU-Squeeze filter performance matching backtest win rates around 65%, and (3) news data loading correctly for 8-currency economic calendar monitoring. Monitor whether demo drawdown stays within 15-20% range with recommended $1,000+ capital before risking live funds. The 996% live result came from aggressive micro-capital testing—your demo should target realistic 8-15% monthly expectations with proper capitalization.
Can I use StorageFX EA for prop firm challenges? +
Not recommended for most prop firm challenges due to 31% maximum drawdown observed in live tracking, exceeding typical 10-12% daily and 20% max DD limits at firms like FTMO or MyFundedFX. The martingale coefficient 1.5x on new signals can trigger rapid equity swings during volatile sessions, violating consistency rules. However, if operating with extremely conservative settings (0.01 lots on $100k accounts, disabling martingale entirely, setting absolute stop loss at 8-10% equity), advanced users might fit within rules—but this significantly reduces the EA's scalping edge. Check the prop firm category for drawdown-optimized alternatives designed specifically for evaluation constraints.
What capital do I need to run this EA safely? +
Minimum $500 tested but carries 25-35% drawdown risk during momentum exhaustion or spread widening. Recommended $1,000-2,000 provides safer 15-20% DD tolerance with 0.05-0.1 fixed lot sizing and $100-200 absolute equity stop protection. These amounts assume: (1) EURUSD-only trading on M5-M15 timeframes, (2) broker spreads consistently under 25 pips, (3) VPS uptime preventing missed signals, and (4) news filter actively pausing during high-impact events. Undercapitalization below $500 risks margin calls during 3-4 consecutive losses (average loss -$21.93 per trade documented). The 996% live result used $124 micro-capital in cent account conditions—not replicable in standard accounts without proportional scaling.
What are the main risks and how do I manage them? +
The 31% maximum drawdown occurred during aggressive micro-capital testing on a $124 cent account, where percentage swings amplify due to small base equity. This happens when martingale 1.5x coefficient compounds across 2-3 consecutive new signal losses during ranging EURUSD conditions or news-driven volatility spikes. Control by: (1) using $1,000-2,000 standard account capital with 0.05-0.1 fixed lots to reduce percentage impact, (2) enabling absolute stop loss at $100-200 equity threshold to force closure before deeper drawdown, (3) limiting trading to London/NY overlap sessions when spread stays under 20 pips, and (4) verifying news filter actively pauses 10 minutes before/after high-impact USD/EUR events. Expect 15-20% typical drawdown with proper setup, recovering within 2-3 weeks during trending momentum conditions. Accept that aggressive micro-capital replication attempts will see 25-35% swings—this is the trade-off for 996% growth potential on tiny accounts versus controlled 8-15% monthly returns on properly capitalized setups.
Which brokers work best with this EA? +
ECN/STP brokers with consistent sub-20 pip spreads on EURUSD during London/NY sessions work best—tested successfully on RoboForex with 1:500 leverage in live verification. The EA's 25-pip max spread filter will pause trading if costs widen, so avoid market maker brokers with variable 3-5 pip spreads that spike to 8-10 during news. Require: (1) MT4 build 1370+ platform, (2) reliable VPS hosting in broker's data center region for <50ms latency, (3) no restrictions on EA/scalping strategies in terms of service, and (4) fast execution under 100ms average for the Laguerre/dSU-Squeeze confirmation system. Avoid: Dealing desk brokers with frequent requotes, crypto-only brokers lacking EURUSD liquidity, and any broker prohibiting martingale position sizing (even though this EA uses conservative 1.5x on new signals only). Test 60+ days on demo to confirm spread behavior matches live account conditions.
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.
Customer Reviews
Only logged in customers who have purchased this product may leave a review.
You might also like:
Golden Owl EA v9 MT4 with SetFiles | High Profit for Gold
In stock
AI NoX EA v1.1 MT4 with Setfiles | Premium Unlimited
In stock
CyberVision EA v1.2 MT4 with SetFiles
In stock
Regal Spear EA v1.1 MT4 with Setfiles
In stock
Black Wolf EA MT4 & MT5 (original ultra profit)
In stock
Dollar Mint EA v1.0 MT4 with Setfiles (powerful profit)
In stock








Reviews
Clear filtersThere are no reviews yet.