Expert Advisor
4.9/5
21 total votes.

FXParabol is a 100% automated Forex robot. The effectiveness of this system is confirmed by verified statistics on accounts with real money.

Trading Idea

FXParabol uses a combination of two indicators in such a way as to detect a trend and determine the moment when to start trading in the direction of this trend.

Specifications

License

One license for a demo or real account which you can manage online in a Personal Area.

Broker / VPS

FXParabol is compatible with most brokers and account types. While in order to get the best achievable stability and profitability, we recommend using Golden Pickaxe on Tickmill Forex brokers in conjunction with TradingFX VPS Forex VPS.

MT5 Version

Two versions of FXParabol that works on MetaTrader 4 and MetaTrader 5 platforms are available.

User Manual

A detailed user manual is included.

Technical Support

A qualitative technical support 24/7 is available.

Future Updates

Free lifetime updates are included.

Refund Policy

FXParabol vendor provides a full money-back guarantee during the first 30 days after purchase as stated in the EA's official website T&Cs.

Supported Currency Pairs

USDJPY, USDCHF, & EURUSD

MetaTrader Chart Timeframe

M1

MyFxBook Verified Real Money Trading Results Statement

Real Money Account
Started On
Jul 14, 2021
Leverage
1:500
Broker
FXOpen
Starting Balance
$2500
Total Gain
+872.47%
MyFxBook (Test Hoster)

Live Test Summary

Started On
Jul 14, 2021
Account Leverage
1:500
Profit Factor
1.96
Total Gain
+872.47%
Absolute Gain
+872.47%
Monthly Gain
11.68%
Daily Gain
0.37%
Total Pips
3,765.7
Total Trades
777
Profit Amount
$21,811.83
(%) Won Trades
3,765.7
Drawdown
46.41%

Tick Data Backtests

View Full Backtest

Backtests Settings

Symbol
USDJPY (US Dollar vs Japanese Yen)
Period
1 Minute (M1) 2015.01.02 11:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2798789
Ticks modelled
148816567
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
30

Backtests Results

Total net profit
3530040.22
Gross profit
5389053.83
Gross loss
-1859013.61
Profit factor
2.90
Expected payoff
3180.22
Absolute Bal DD
4156.86
Maximal Bal DD
1330833.19 (92.76%)
Relative Bal DD
92.76% (1330833.19)
Total Trades
1110
Short positions (won %)
535 (75.33%)
Long positions (won %)
575 (73.74%)
Profit trades (% of total)
827 (74.50%)
Loss trades (% of total)
283 (25.50%)
Largest Profit trade
338346.45
Largest Loss trade
-88346.49
Average Profit trade
6516.39
Average Loss trade
-6568.95
Maximum consecutive wins (profit in money)
18 (178140.21)
Maximum consecutive losses (loss in money)
3 (-234945.97)
Maximal consecutive profit (count of wins)
587756.51 (4)
Maximal consecutive loss (count of losses)
-234945.97 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
USDJPY (US Dollar vs Japanese Yen)
Period
1 Minute (M1) 2015.01.02 11:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2798789
Ticks modelled
148816567
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
30

Backtests Results

Total net profit
472430.84
Gross profit
712930.94
Gross loss
-240500.10
Profit factor
2.96
Expected payoff
425.61
Absolute Bal DD
2604.59
Maximal Bal DD
129909.95 (31.99%)
Relative Bal DD
32.12% (3498.65)
Total Trades
1110
Short positions (won %)
535 (75.33%)
Long positions (won %)
575 (73.74%)
Profit trades (% of total)
827 (74.50%)
Loss trades (% of total)
283 (25.50%)
Largest Profit trade
32912.21
Largest Loss trade
-8640.05
Average Profit trade
862.07
Average Loss trade
-849.82
Maximum consecutive wins (profit in money)
18 (22496.01)
Maximum consecutive losses (loss in money)
3 (-22977.09)
Maximal consecutive profit (count of wins)
57152.18 (4)
Maximal consecutive loss (count of losses)
-22977.09 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
USDCHF (US Dollar vs Swiss Franc)
Period
1 Minute (M1) 2015.01.02 02:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2792175
Ticks modelled
98986530
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
30

Backtests Results

Total net profit
7543889.35
Gross profit
11942365.93
Gross loss
-4398476.58
Profit factor
2.72
Expected payoff
7574.19
Absolute Bal DD
2279.88
Maximal Bal DD
3360940.86 (83.82%)
Relative Bal DD
85.60% (2588326.20)
Total Trades
996
Short positions (won %)
540 (75.37%)
Long positions (won %)
456 (73.68%)
Profit trades (% of total)
743 (74.60%)
Loss trades (% of total)
253 (25.40%)
Largest Profit trade
828279.33
Largest Loss trade
-363387.99
Average Profit trade
16073.17
Average Loss trade
-17385.28
Maximum consecutive wins (profit in money)
15 (7838.65)
Maximum consecutive losses (loss in money)
3 (-751555.26)
Maximal consecutive profit (count of wins)
1458290.77 (11)
Maximal consecutive loss (count of losses)
-751555.26 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
USDCHF (US Dollar vs Swiss Franc)
Period
1 Minute (M1) 2015.01.02 02:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2792175
Ticks modelled
98986530
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
30

Backtests Results

Total net profit
532525.72
Gross profit
815867.63
Gross loss
-283341.91
Profit factor
2.88
Expected payoff
534.66
Absolute Bal DD
1282.29
Maximal Bal DD
156952.35 (32.43%)
Relative Bal DD
32.56% (131948.52)
Total Trades
996
Short positions (won %)
540 (75.37%)
Long positions (won %)
456 (73.68%)
Profit trades (% of total)
743 (74.60%)
Loss trades (% of total)
253 (25.40%)
Largest Profit trade
41637.43
Largest Loss trade
-17010.43
Average Profit trade
1098.07
Average Loss trade
-1119.93
Maximum consecutive wins (profit in money)
15 (2498.50)
Maximum consecutive losses (loss in money)
3 (-35204.37)
Maximal consecutive profit (count of wins)
72288.66 (11)
Maximal consecutive loss (count of losses)
-35204.37 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
1 Minute (M1) 2015.01.02 11:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2798577
Ticks modelled
138276611
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
20

Backtests Results

Total net profit
6696370.36
Gross profit
10890441.26
Gross loss
-4194070.90
Profit factor
2.60
Expected payoff
4807.16
Absolute Bal DD
2691.99
Maximal Bal DD
1917103.62 (94.52%)
Relative Bal DD
94.52% (1917103.62)
Total Trades
1393
Short positions (won %)
680 (77.50%)
Long positions (won %)
713 (71.95%)
Profit trades (% of total)
1040 (74.66%)
Loss trades (% of total)
353 (25.34%)
Largest Profit trade
367035.88
Largest Loss trade
-212872.15
Average Profit trade
10471.58
Average Loss trade
-11881.22
Maximum consecutive wins (profit in money)
27 (4894.14)
Maximum consecutive losses (loss in money)
3 (-346560.85)
Maximal consecutive profit (count of wins)
585626.66 (2)
Maximal consecutive loss (count of losses)
-346560.85 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1
View Full Backtest

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
1 Minute (M1) 2015.01.02 11:00 - 2022.07.09 00:47 (2015.01.01 - 2022.07.13)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Bars in test
2798577
Ticks modelled
138276611
Modelling quality
25.00%
Initial Deposit
$10000.00
Spread
20

Backtests Results

Total net profit
498839.33
Gross profit
813916.46
Gross loss
-315077.13
Profit factor
2.58
Expected payoff
358.10
Absolute Bal DD
1220.61
Maximal Bal DD
112556.12 (32.69%)
Relative Bal DD
32.69% (112556.12)
Total Trades
1393
Short positions (won %)
680 (77.50%)
Long positions (won %)
713 (71.95%)
Profit trades (% of total)
1040 (74.66%)
Loss trades (% of total)
353 (25.34%)
Largest Profit trade
21546.39
Largest Loss trade
-10413.71
Average Profit trade
782.61
Average Loss trade
-892.57
Maximum consecutive wins (profit in money)
27 (1712.14)
Maximum consecutive losses (loss in money)
3 (-20342.00)
Maximal consecutive profit (count of wins)
34378.49 (2)
Maximal consecutive loss (count of losses)
-20342.00 (3)
Avarage consecutive wins
4
Avarage consecutive losses
1

Trading Strategy

The development of FXParabol is based on a combination of the FXParabol SAR and Bollinger Bands indicators. The robot uses a combination of these indicators in such a way as to detect a trend and determine the moment when to start trading in the direction of this trend.

There is also a special mathematical algorithm in the EA that allows it to compensate even for losing trades. It has a special system that limits possible drawdowns, which you can easily configure in the settings.

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.