Forex Trend Detector has a very high reward to risk ratio, high average profit per trade in pips, visual risk indication system and latest generation self-updating algorithm, it doesn't need to be optimized and has a 100% guaranteed long-term profits by its vendor.

Trading Idea

No exotic or speculative techniques are applied in Forex Trend Detector and it's not a slippage or spread dependent.
It detects the final moments of a volatile market trend or session, identifies the volatility limits below which the dominant market trend is, and don't ignore the special situations when those volatility limits occur near important market levels, predict price levels that should capitalize when the market is readjusted after the volatility breakout has occurred, and finally it sets an order based on that prediction.

Specifications

License

One Real and Two Demo Accounts.

NFA & FIFO

Fully Compatible with Currency Trading Rules and Regulations. Runs with NFA Regulated Brokers.

Broker / VPS recommendation

The EA Can Run with Any Forex Broker, While We Recommend Installing it on TradingFX VPS and Using it on Tickmill accounts for the Best Stability and Profitability.

Updates

Free lifetime updates.

Support

Professional rapid response team 24/7.

Refund Policy

Unconditional 60-Day Money Back Guarantee.

Supported Currency Pairs

EURUSD, GBPUSD

MetaTrader Chart Timeframe

M5

Trading Style (Visual Backtest)

View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2011.05.31 22:00 - 2016.05.31 21:59 (2013.08.31 - 2015.08.31)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.05; FixedLots=0.01; AutoMM=1; AutoMM_Max=10; MaximalLots=100; MaxTrades=10; CES="=== Custom Expert Settings ===="; CustomStopLoss=0; CustomTakeProfit=0; TrailingStop=31; StartTrailStop=85; SafeExitMinutes=1620; SafeProfit=-10; ExitSignalProfit=40; ExitM5Profit=80;
Bars in test
374132
Ticks modelled
71793845
Modelling quality
99.00%
Initial Deposit
$1000.00
Spread
10

Backtests Results

Total net profit
1211.49
Gross profit
3217.62
Gross loss
-2006.13
Profit factor
1.60
Expected payoff
3.47
Absolute Bal DD
212.47
Maximal Bal DD
838.40 (51.56%)
Relative Bal DD
51.56% (838.40)
Total Trades
349
Short positions (won %)
165 (70.91%)
Long positions (won %)
184 (45.65%)
Profit trades (% of total)
201 (57.59%)
Loss trades (% of total)
148 (42.41%)
Largest Profit trade
79.92
Largest Loss trade
-42.00
Average Profit trade
16.01
Average Loss trade
-13.55
Maximum consecutive wins (profit in money)
20 (46.78)
Maximum consecutive losses (loss in money)
13 (-383.18)
Maximal consecutive profit (count of wins)
587.37 (9)
Maximal consecutive loss (count of losses)
-383.18 (13)
Avarage consecutive wins
6
Avarage consecutive losses
4

Backtests

We have conducted different backtests with a series of alternating settings to better understand the EA performance over 5 years from 2011 to 2016 using high quality 99% Dukascopy Tick Data via a Tickmill ECN-PRO Demo account with a real spread of 0.4 for EURUSD as a reference for comparison (the lower the spread, the better the results).

We have applied different risk levels; low risk of 1%, medium risk of 2% and high risk of 4%, in addition to fixed lot size of 0.05 with no risk of Zero! All were tested once while the recovery mode is switched off and then while it's on:

EURUSD Backtests

View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:20
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
16235.40
Gross profit
4398.94
Gross loss
-13022.43
Profit factor
1.25
Expected payoff
0.39
Absolute Bal DD
0.31
Maximal Bal DD
107.94 (0.96%)
Relative Bal DD
0.99% (104.74)
Total Trades
8138
Short positions (won %)
797 (67.38%)
Long positions (won %)
3996 (51.23%)
Profit trades (% of total)
4372 (53.72%)
Loss trades (% of total)
3766 (46.28%)
Largest Profit trade
21.96
Largest Loss trade
-3.64
Average Profit trade
3.71
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
40 (161.06)
Maximum consecutive losses (loss in money)
35 (-121.55)
Maximal consecutive profit (count of wins)
161.87 (38)
Maximal consecutive loss (count of losses)
-121.55 (35)
Avarage consecutive wins
6
Avarage consecutive losses
5
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:30
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
228960.41
Gross profit
206711.06
Gross loss
-180936.73
Profit factor
1.27
Expected payoff
5.93
Absolute Bal DD
3.16
Maximal Bal DD
10145.55 (8.43%)
Relative Bal DD
10.38% (3614.81)
Total Trades
8094
Short positions (won %)
797 (67.38%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
468.93
Largest Loss trade
-107.65
Average Profit trade
51.97
Average Loss trade
-49.06
Maximum consecutive wins (profit in money)
40 (3146.72)
Maximum consecutive losses (loss in money)
35 (-607.70)
Maximal consecutive profit (count of wins)
3678.56 (38)
Maximal consecutive loss (count of losses)
-2131.16 (25)
Avarage consecutive wins
6
Avarage consecutive losses
5
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:35
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=true; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
16263.92
Gross profit
7204.05
Gross loss
-12752.43
Profit factor
1.28
Expected payoff
0.43
Absolute Bal DD
11.39
Maximal Bal DD
233.54 (1.88%)
Relative Bal DD
1.88% (233.54)
Total Trades
8094
Short positions (won %)
1578 (61.09%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
21.96
Largest Loss trade
-3.64
Average Profit trade
3.69
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
40 (159.96)
Maximum consecutive losses (loss in money)
35 (-121.55)
Maximal consecutive profit (count of wins)
159.96 (40)
Maximal consecutive loss (count of losses)
-121.55 (35)
Avarage consecutive wins
6
Avarage consecutive losses
5
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2021.12.31 01:55
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=true; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
4934514.81
Gross profit
398235.17
Gross loss
-3979252.22
Profit factor
1.24
Expected payoff
118.02
Absolute Bal DD
113.74
Maximal Bal DD
21322.43 (21.21%)
Relative Bal DD
21.21% (21322.43)
Total Trades
8094
Short positions (won %)
1578 (61.09%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
19181.55
Largest Loss trade
-16929.78
Average Profit trade
1119.95
Average Loss trade
-1078.97
Maximum consecutive wins (profit in money)
40 (91832.54)
Maximum consecutive losses (loss in money)
35 (-1695.71)
Maximal consecutive profit (count of wins)
166488.97 (11)
Maximal consecutive loss (count of losses)
-166281.28 (12)
Avarage consecutive wins
6
Avarage consecutive losses
5

GBPUSD Backtests

View Full Backtest

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
826.39
Gross profit
2808.43
Gross loss
-16258.30
Profit factor
1.05
Expected payoff
0.09
Absolute Bal DD
2.43
Maximal Bal DD
151.79 (1.34%)
Relative Bal DD
1.34% (151.79)
Total Trades
9063
Short positions (won %)
472 (62.71%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
21.92
Largest Loss trade
-3.55
Average Profit trade
3.91
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
58 (250.84)
Maximum consecutive losses (loss in money)
34 (-117.64)
Maximal consecutive profit (count of wins)
250.84 (58)
Maximal consecutive loss (count of losses)
-117.64 (34)
Avarage consecutive wins
5
Avarage consecutive losses
6
View Full Backtest

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:50
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
102746.76
Gross profit
75796.55
Gross loss
-97872.82
Profit factor
1.05
Expected payoff
0.54
Absolute Bal DD
24.32
Maximal Bal DD
5276.15 (14.32%)
Relative Bal DD
14.32% (5276.15)
Total Trades
9063
Short positions (won %)
472 (62.71%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
131.54
Largest Loss trade
-35.30
Average Profit trade
23.53
Average Loss trade
-20.84
Maximum consecutive wins (profit in money)
58 (1253.06)
Maximum consecutive losses (loss in money)
34 (-705.50)
Maximal consecutive profit (count of wins)
1337.04 (28)
Maximal consecutive loss (count of losses)
-888.56 (29)
Avarage consecutive wins
5
Avarage consecutive losses
6
View Full Backtest

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:50
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
17084.69
Gross profit
2809.04
Gross loss
-16258.30
Profit factor
1.05
Expected payoff
0.09
Absolute Bal DD
2.45
Maximal Bal DD
152.19 (1.35%)
Relative Bal DD
1.35% (152.19)
Total Trades
9063
Short positions (won %)
472 (62.92%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
21.92
Largest Loss trade
-3.55
Average Profit trade
3.91
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
58 (250.84)
Maximum consecutive losses (loss in money)
34 (-117.64)
Maximal consecutive profit (count of wins)
250.84 (58)
Maximal consecutive loss (count of losses)
-117.64 (34)
Avarage consecutive wins
5
Avarage consecutive losses
6
View Full Backtest

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 20:00
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
3773.00
Gross profit
158077.71
Gross loss
-312567.08
Profit factor
1.01
Expected payoff
0.42
Absolute Bal DD
24.52
Maximal Bal DD
12392.77 (22.56%)
Relative Bal DD
22.56% (12392.77)
Total Trades
9063
Short positions (won %)
472 (62.92%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
902.50
Largest Loss trade
-751.80
Average Profit trade
72.44
Average Loss trade
-66.56
Maximum consecutive wins (profit in money)
58 (501.11)
Maximum consecutive losses (loss in money)
34 (-3357.82)
Maximal consecutive profit (count of wins)
12144.84 (20)
Maximal consecutive loss (count of losses)
-9210.13 (22)
Avarage consecutive wins
5
Avarage consecutive losses
6

Trading Strategy

It applies the professional fund managers technique called the "Smart Money" for maximum profitability, in addition to a sophisticated drawdown compensating algorithm combined to the well known volatility breakout strategy for maximum protection.

The volatility breakout strategy is used by Smart Money technique to follow the market impulse for its purity and logic for the most reliable and constant performance.

In addition to that, the EA applies a cutting-edge polynomial algorithm that sets and tunes the system parameters in real-time in response to the continuous market movements and condition changes.

It also applies a set of intelligent profitable and protecting systems as:

  • High spread and high slippage protection system.
  • State-Of-The-Art Profit Protection System.

Bottom Line

Forex Trend Detector is a new Forex software release by FxAutomater, the EA developers team that has previously created the legendary powerful Forex robot WallStreet Forex Robot, many years ago and is still profitable since then and till now, and this can strongly indicate that Forex Trend Detector is a real promising Forex robot.

Promotional Video (by the Vendor)

Risk

Forex trading can involve the risk of loss beyond your initial deposit. It is not suitable for all investors and you should make sure you understand the risks involved, seeking independent advice if necessary.

Forex accounts typically offer various degrees of leverage and their elevated profit potential is counterbalanced by an equally high level of risk. You should never risk more than you are prepared to lose and you should carefully take into consideration your trading experience.

Past performance and simulated results are not necessarily indicative of future performance. All the content on this site represents the sole opinion of the author and does not constitute an express recommendation to purchase any of the products described in its pages.