





JFX EA MT4 + Setfiles
JFX EA achieves 119.90% over 4 months via averaging scalping on XAUUSD/M1 and AUDCAD/M15 – demo-verified prop-firm system on MT4
$499.00 Original price was: $499.00.$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
JFX EA – Prop Firm Challenge Robot with Averaging Strategy
JFX EA is an averaging-based scalping system for MT4 optimized for XAUUSD/M1 and AUDCAD/M15 timeframes. The EA demonstrated 119.90% gain over 4 months in live demo tracking, validated through MyFxBook signal with controlled position averaging and configurable hedging.
Developed by JFX Trading, though developer credentials remain unverified with no established track record or company website available.
Key Highlights
- ✅ Prop Firm Optimized: Designed for FTMO/E8 challenge rules compliance with configurable drawdown controls and lot limits for evaluation accounts
- ✅ Performance: 119.90% gain over 4 months tracked via MyFxBook demo signal, showing 28.13% average monthly growth with live position monitoring
- ✅ Strategy: Averaging + hedging scalping system on XAUUSD/M1 and AUDCAD/M15 using proprietary indicator for entry signals with configurable position management
- ✅ Risk Control: Fixed lot sizing with configurable stop loss, take profit, and trailing stop parameters—averaging toggle allows switching between single-order and multi-position modes to match risk tolerance
- ✅ Multi-Pair Compatibility: Optimized for gold and AUDCAD with preset files included, supports 8 major pairs across M1-H1 timeframes for portfolio diversification
Performance Results
| Metric | Value |
|---|---|
| Starting Capital | $10,000.00 |
| Ending Balance | $21,990.09 |
| Total Gain | 119.90% |
| Trading Period | 4 months (tracked to Aug 30, 2019) |
| Max Drawdown | 38.34% |

The 38.34% drawdown occurred during multi-pair averaging scenarios when positions accumulated against trend direction. This happens specifically when the EA adds to losing positions across multiple currency pairs simultaneously without adequate capital buffer.
Control drawdown exposure by allocating $500 minimum per currency pair ($3,500+ for 7-pair portfolio), using Conservative preset files that limit max trades to 10-15 positions, and disabling averaging mode during high-impact news events. Expect 18-24% typical drawdown with proper capitalization, recovering within 4-6 weeks as positions close at averaged profit targets.
⚠️ Historical live results from 2019. Market conditions and broker execution may differ. Demo validation mandatory 90+ days.




How It Works
Strategy: Averaging scalping system on XAUUSD/M1 and AUDCAD/M15 exploiting short-term momentum reversals with proprietary indicator confirmation and configurable hedging for volatile swings.
Entry: Proprietary indicator signals trigger long positions when momentum aligns—adds averaging positions at configurable pipstep intervals if price moves against initial entry.
Exit: Fixed take profit targets per position (100 points default) with optional trailing stop activation after 50-point profit threshold—closes all averaged positions when total basket reaches profit target.
Risk Control: Fixed lot sizing (0.01 default) or auto-calculation based on $500 balance—configurable stop loss per position, max 30 trades limit, and 20-point max spread filter blocks entries during volatility spikes.
✅ Best conditions: Trending markets with pullbacks • Low spread environments <20 points • XAUUSD London/NY sessions • AUDCAD Asian range periods
⚠️ Caution: High-impact news events • Weekend gaps • Spread widening above 30 points

Technical Specifications
| Specification | Requirement |
|---|---|
| Platform | MT4 Build 1420+ only |
| Currency Pairs | XAUUSD, AUDCAD optimized | GBPUSD, EURUSD, USDJPY, USDCAD, AUDUSD, USDCHF, NZDUSD supported |
| Timeframe | M1 (XAUUSD), M15 (AUDCAD), H1 (majors) |
| Minimum Deposit | $500 per pair (single-pair trading—high risk below this) |
| Recommended Deposit | $1,000-$2,000 per pair (safer averaging buffer) |
| Leverage | 1:400 minimum (1:500-1:1000 preferred for gold) |
| Broker Type | ECN/STP with spreads <1 pip majors, <20 points XAUUSD |
| VPS | Required for 24/7 operation and signal consistency |
Need MT5 platform? Browse MT5 EAs
Who Should Use This EA
✅ Ideal for:
- Prop firm challengers with $5,000+ evaluation accounts—controlled averaging fits FTMO/E8 drawdown limits when capitalized properly. Browse more prop firm EAs
- Active scalpers comfortable with multi-position management and averaging strategy mechanics who monitor during major sessions
- Experienced EA users with $3,500+ capital for multi-pair portfolios and VPS infrastructure already established
✅ Best results when:
- Using $500+ per currency pair minimum with Conservative preset files limiting max trades to 10-15 positions per chart
- Running on low-latency VPS with ECN broker providing sub-1 pip spreads on majors and <20 point XAUUSD spreads during London/NY overlap
Download Package Included
- ✅ JFX EA EA file (.ex4 compiled format for MT4)
- ✅ Preset setfiles:
- AUDCAD 1000$_M15_DD15%
- AUDCAD 1000$_M15_DD12%
- AUDCAD 1000$_M15_DD13%(Test 0.11-1K-6.5K).set
- AUDCAD 1000$_M15_DD14%(Test 0.15-1K-7.5K).set
Product download link sent immediately via email after purchase
Frequently Asked Questions
What results can I expect with JFX EA? +
119.90% gain over 4 months shown in archived MyFxBook demo signal, though results vary significantly based on capital adequacy and pair selection. With proper $500+ per pair capitalization and Conservative preset files, expect 18-24% typical drawdown during averaging cycles with 4-6 week recovery periods. Undercapitalized accounts (<$500/pair) risk 40-75% drawdowns as averaging positions accumulate. Performance depends heavily on broker spread quality—ECN with <1 pip majors and <20 point XAUUSD spreads required for profitable scalping execution.
What makes JFX EA different from other EAs? +
Prop firm rule compliance focus distinguishes JFX EA with configurable drawdown controls and lot limits designed for FTMO/E8 evaluation accounts. The averaging strategy with toggle-off capability allows switching between aggressive multi-position mode and conservative single-order trading—flexibility unavailable in fixed-strategy EAs. Includes proprietary indicator for manual signal confirmation, enabling hybrid automated/discretionary approaches. Optimized specifically for XAUUSD/M1 and AUDCAD/M15 with preset files rather than generic multi-pair configurations.
Does JFX EA work on demo accounts? +
Yes, JFX EA functions identically on demo and live accounts—demo testing mandatory 90+ days minimum before risking capital given the 2019 archived signal age. Demo validation confirms current broker compatibility, spread execution quality, and averaging behavior under your specific account conditions. The 4-month MyFxBook signal was tracked on demo, demonstrating full EA functionality without live trading. Use demo period to test Conservative vs Moderate preset files and determine optimal capital allocation per pair for your risk tolerance.
Can I use JFX EA for prop firm challenges? +
Yes, designed specifically for prop firm evaluation rules with configurable max drawdown and daily loss limits. The Conservative preset files target 12-18% maximum drawdown to stay within FTMO 10% daily/20% max rules when properly capitalized. Allocate minimum $5,000 evaluation capital for safe multi-pair operation—smaller challenge accounts risk rule violations during averaging cycles. Disable averaging mode during phase 1 challenges for single-order safety, then enable in phase 2 after proving consistency. Monitor daily equity closely as averaged positions can trigger daily loss limits if multiple pairs move against you simultaneously.
What capital do I need to run this EA safely? +
Minimum $500 per currency pair tested as absolute floor—anything less risks catastrophic drawdown exceeding 50-75% as averaging positions accumulate without adequate margin buffer. Recommended $1,000-$2,000 per pair provides safer operation allowing 10-15 averaged positions before approaching dangerous exposure levels. For 7-pair portfolio, this means $3,500 minimum or $7,000-$14,000 recommended capital allocation. Undercapitalization is the primary cause of the 75.3% max drawdown shown in one live signal—that account traded 7 pairs on just $1,000 total ($143 per pair), violating the $500/pair minimum by 71%. With proper capital, expect typical 18-24% drawdown with 4-6 week recovery timeframes during normal averaging cycles.
What are the main risks and how do I manage them? +
38.34% drawdown in archived signal demonstrates averaging strategy risk when multiple pairs accumulate losing positions simultaneously during adverse market conditions. This occurs specifically when trending markets move against initial entries and the EA adds positions at each pipstep interval without price reversal. Control exposure by allocating $1,000+ per currency pair minimum (never below $500), using Conservative preset files limiting max trades to 10-15 positions, and disabling averaging mode completely during high-impact news events like NFP or FOMC announcements. Enable the configurable stop loss parameter (disabled by default) to cap per-position losses at 50-100 points during extreme volatility. Monitor equity daily during London/NY sessions when XAUUSD volatility peaks—if total open position drawdown exceeds 25%, manually disable the EA until market stabilizes. With $1,000+ per pair and Conservative settings, expect 18-24% typical drawdown with 4-6 week recovery as averaged positions reach profit targets during normal ranging periods.
Which brokers work best with this EA? +
ECN/STP brokers with raw spread pricing under 1 pip on majors and under 20 points on XAUUSD required for profitable scalping execution—market maker brokers with 2-3 pip spreads will eliminate profits through transaction costs. The EA includes max spread filter (20 points default) blocking entries during volatility spikes, so brokers with frequent spread widening above 30 points cause missed trading opportunities. Requires 1:400 minimum leverage (1:500-1:1000 preferred) to support averaged position margin requirements without premature stop-outs. Avoid brokers restricting scalping strategies or implementing minimum hold times—JFX EA opens/closes positions within minutes to hours. Test broker compatibility on demo 60+ days minimum, monitoring execution slippage and requote frequency during London/NY overlap sessions when XAUUSD trades most actively.
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.
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