








CyBRG RX EA MT4 V1.11 + Setfiles
CyBRG RX EA demonstrates 115,000-1,600,000% over 10 years via multi-strategy automation – 99.9% backtested across multiple pairs MT4
$690.00 Original price was: $690.00.$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
CyBRG RX EA – Adaptive Multi-Currency Trading for 24/7 Automation
CyBRG RX EA is an automated multi-strategy trading system for MT4 using news filtering and spread stability controls across multiple currency pairs.
Demonstrates 115,000-1,600,000% returns over 10-year stress tests validated through 99.9% quality backtests with configurable risk tiers (Low/Medium/High).
Designed for active traders with $1,000-10,000 capital seeking diversified portfolio automation across multiple timeframes.
- Vendor website: Click here
✅ Key Highlights
- ✅ 24/7 Multi-Currency Automation: Trades multiple pairs simultaneously without manual monitoring or intervention required
- ✅ Performance: 115,000-1,600,000% returns over 10-year period validated through 99.9% quality Strategy Tester simulations
- ✅ Adaptive Strategy System: Combines trend detection, breakout entries, and position averaging across M5-H1 timeframes with news event filtering
- ✅ Risk Control: 3-tier system (Low/Medium/High aggression) with configurable stop-loss (10-50 pips), take-profit levels, and optional equity protection
- ✅ News Protection: High-impact news filter pauses trading 60 minutes before and 30 minutes after major economic releases
📊 Performance Results
10-Year Stress Test – Low Risk Configuration
| Metric | Value |
|---|---|
| Starting Capital | $10,000.00 |
| Ending Balance | $115,616.74 |
| Total Return | 1,056% |
| Trading Period | 10 Years (Backtest) |
| Total Trades | 3,848 |
| Win Rate | 96.52% |
| Profit Factor | 6.55 |
| Max Drawdown | 2.41% |


10-Year Stress Test – Medium Risk Configuration
| Metric | Value |
|---|---|
| Starting Capital | $10,000.00 |
| Ending Balance | $16,877,299.66 |
| Total Return | 168,673% |
| Trading Period | 10 Years (Backtest) |
| Total Trades | 3,848 |
| Win Rate | 62.52% |
| Profit Factor | 6.49 |
| Max Drawdown | 7.26% |


10-Year Stress Test – High Risk Configuration
| Metric | Value |
|---|---|
| Starting Capital | $10,000.00 |
| Ending Balance | $24,995,426.78 |
| Total Return | 249,854% |
| Trading Period | 10 Years (Backtest) |
| Total Trades | 3,848 |
| Win Rate | 62.52% |
| Profit Factor | 6.82 |
| Max Drawdown | 63.66% |


The 63.66% maximum drawdown in High Risk mode occurs during extended adverse market cycles when multiple pairs move against positions simultaneously. This happened during the 2015-2016 volatility period and 2022 rate hike environment.
You control drawdown severity through capital allocation ($10K for conservative vs $30K+ for aggressive), selecting Low/Medium risk tiers, and reducing concurrent pairs traded. With Medium Risk and adequate capital, typical drawdowns range 15-25% with 4-8 week recovery periods.
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 mean-reversion patterns and breakout momentum across correlated currency pairs while filtering high-spread volatility periods.
Entry Logic: Opens positions when consecutive signal confirmation occurs with spread below maximum threshold (default 5 pips) and outside news filter windows.
Exit Strategy: Closes positions at 10.0 pip take-profit target or 50.0 pip stop-loss threshold, with option to hide TP/SL levels from broker visibility.
Risk Management: Fixed lotsize or automatic calculation based on account equity, with optional spread stability filter monitoring 10-minute price action before entry.
Market Conditions:
✅ Best: Stable spreads <5 pips, trending or ranging markets outside major news events
⚠️ Caution: High-impact news releases (paused 60 min before/30 min after), spread widening >5 pips, low liquidity sessions

🔧 Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MT4 (Build 1370+) |
| Currency Pairs | Multiple pairs supported (configure per account) |
| Timeframe | M5-H1 (multi-timeframe compatible) |
| Minimum Deposit | $1,000 (Low Risk tested minimum) |
| Recommended Deposit | $10,000-30,000 (Medium/High Risk safe operation) |
| Leverage | 1:100 minimum (1:500 recommended) |
| Broker Type | ECN/STP preferred, spread <5 pips average |
| VPS | Recommended for 24/7 operation and news filter reliability |
This EA is MT4 only. Need MT5 platform? Browse MT5 alternatives
👤 Who Should Use This EA
Ideal for active traders with $1,000-30,000 capital seeking automated multi-currency portfolio management without constant monitoring requirements.
Best results when using Low/Medium risk tiers on ECN brokers with <3 pip spreads, running on VPS for uninterrupted news filter execution.
Our included capital-to-pairs allocation guide helps determine optimal Low/Medium/High tier selection based on your account size and drawdown tolerance preferences.
📦 Download Packages Included
- ✅ CyBRG RX EA file (.ex4 for MT4 format)
- ✅ Preset setfiles:
- USDJPY_Autolot.set
Product download link sent immediately via email after purchase
❓ Frequently Asked Questions
What results can I expect with CyBRG RX EA? +
Results depend heavily on risk tier selection and capital allocation. Low Risk mode (recommended for $1,000-3,000 capital) demonstrates 8-12% monthly potential with 2-3% typical drawdowns based on 10-year backtest data. Medium Risk ($10,000+ capital) shows 15-25% monthly ranges with 7-15% drawdowns. High Risk requires $30,000+ capital and accepts 40-60% temporary drawdowns during adverse cycles. Performance also depends on broker spread quality (ECN <3 pips optimal) and news filter reliability. Allow 60-90 days demo validation to observe performance across multiple market conditions before evaluating live results.
What makes CyBRG RX EA different from other EAs? +
The 3-tier risk system (Low/Medium/High aggression) provides preset configurations matching different capital levels, unlike generic EAs requiring manual parameter tuning. The integrated news filter with 60-minute pre-event pause prevents high-impact volatility exposure automatically. Multi-pair capability with spread stability monitoring (10-minute lookback) ensures entry quality control. Additionally, the option to hide TP/SL levels from brokers prevents stop-hunting on retail accounts. Most competing grid/averaging systems lack configurable risk presets and sophisticated news avoidance.
Does CyBRG RX EA work on demo accounts? +
Yes, full functionality operates on demo accounts for validation testing. The EA's news filter, spread monitoring, and entry logic perform identically to live conditions. Demo testing is mandatory 60-90 days minimum before live deployment to observe performance across trending markets, ranging periods, and major news events (NFP, FOMC, ECB). This validation period reveals typical drawdown patterns and confirms broker compatibility (spread stability, execution quality). Note that demo fills may differ slightly from live due to requotes and slippage—factor this into expectations when transitioning to real capital.
What capital do I need to run this EA safely? +
Minimum $1,000 for Low Risk tier trading 1-3 pairs with conservative lot sizing. This tested minimum maintains 2-5% typical drawdowns. Recommended $10,000-15,000 for Medium Risk tier providing buffer for 15-25% drawdowns across 5-8 pairs without liquidation risk. $30,000+ required for High Risk tier accepting 40-60% temporary drawdowns during extended adverse cycles. Undercapitalization with Medium/High tiers creates margin call risk during multi-pair drawdown periods when correlations align negatively. The capital determines maximum concurrent pairs tradeable and position size tolerance—higher capital enables diversification reducing single-pair dependency.
What are the main risks and how do I manage them? +
Primary risk is position accumulation during strong trend periods causing 25-60% drawdowns when multiple pairs move against positions simultaneously—occurs during 3-6 week adverse market cycles in High Risk mode. You control this through capital sizing ($1,000 Low Risk for 1-3 pairs vs $30,000 High Risk for 5+ pairs), selecting appropriate aggression tier matching your drawdown tolerance, and reducing concurrent pairs traded (fewer pairs = lower correlation exposure). Enable the spread stability filter (10-minute lookback) to block entries during volatility spikes, and ensure news filter active to pause trading 60 minutes before high-impact events. With proper Medium Risk setup on $10K capital, typical experience is 15-22% drawdowns with 4-8 week recovery periods when trends resume or revert. Consider starting Low Risk for 2-3 months to understand behavior before escalating aggression levels.
Which brokers work best with this EA? +
ECN or STP brokers with average spreads <3 pips on major pairs (EUR/USD, GBP/USD, USD/JPY) provide optimal conditions. Fast execution (20-50ms latency) prevents slippage during news filter reactivation. Minimum 1:100 leverage required, though 1:500 recommended for position flexibility. Avoid Market Maker brokers with fixed 4-5 pip spreads—the EA's 5-pip spread filter will block most entries reducing trade frequency. Test broker compatibility on demo 30+ days monitoring spread behavior during London/New York overlap (8am-12pm EST) when EA is most active. Brokers with consistent 1-2 pip EUR/USD spreads during active sessions show best backtest-to-live correlation. Poor broker choice (high spreads, slow execution) degrades performance 30-50% compared to backtest projections.
What support do I get after purchase? +
Telegram support channel with typical 2-4 hour response time during business hours (Monday-Friday 9am-5pm GMT). Email support available for detailed setup questions with 24-hour response timeframe. Support covers EA installation, parameter configuration guidance for your capital level, broker compatibility troubleshooting, and interpreting early performance patterns. When requesting help, include: MT4 build number, broker name, account leverage, capital amount, selected risk tier, and screenshot of EA inputs tab. Support does not provide trading advice, guaranteed profit targets, or real-time trade monitoring. For fastest resolution, demo test 60+ days documenting questions that arise during validation period before contacting support.

>>> 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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