Gold ProfitFactor EA — Ultra Fast Profit Multiplier | HEPIPROFIT
Gold ProfitFactor XAUUSD · H1 · MetaTrader 5 · Scalper

GOLD PROFITFACTOR EA

⚡ ULTRA FAST
47,193 TRADES
🔥 PROFIT MULTIPLIER

The most trade-active Gold EA in the HEPIPROFIT lineup. 47,193 trades over 4 years. +5,538% return from a $10,000 deposit. Profit Factor 3.13 · Sharpe Ratio 10.23. Built to multiply capital — fast.

TOTAL RETURN +5,538% 47,193 TRADES EXECUTED PROFIT FACTOR 3.13 SHARPE RATIO 10.23 WIN RATE 69.95% LR CORRELATION 0.99 RECOVERY FACTOR 38.66 BALANCE DD 2.91% XAUUSD H1 · 4 YEARS TOTAL RETURN +5,538% 47,193 TRADES EXECUTED PROFIT FACTOR 3.13 SHARPE RATIO 10.23 WIN RATE 69.95% LR CORRELATION 0.99 RECOVERY FACTOR 38.66 BALANCE DD 2.91% XAUUSD H1 · 4 YEARS

Ultra Fast.
Ultra Profitable.

4 years of XAUUSD H1 backtest data. 47,193 trades. Not a slow swing trader — this EA works the market every hour, compounding small edges into extraordinary returns.

+5,538%
Total Return
$10,000 → $563,844
47,193
Trades Executed
4 years of data
3.13
Profit Factor
$828K gross profit
10.23
Sharpe Ratio
Exceptional consistency
38.66
Recovery Factor
Fastest recovery
0.99
LR Correlation
Near-linear growth

LR Correlation 0.99.
That's a Straight Line Up.

An LR Correlation of 0.99 means the equity curve is almost perfectly linear — no violent spikes, no lucky recovery months. Just consistent compounding over 47,193 trades.

BALANCE CURVE · XAUUSD H1 · 2022.04 – 2026.04 · $10,000 DEPOSIT
LR Correlation: 0.99 · 47,193 trades · XM Global MT5
$563,844
+5,538% Total Return $10K → $563K
69.95% Win Rate 33,010 winners
3.13 Profit Factor $828K gross profit
10.23 Sharpe Ratio Top 1% globally
2.91% Balance DD Max Extremely controlled
38.66 Recovery Factor Fastest in lineup
ExpertGOLD PROFITFACTOR2
SymbolGOLD# (XM Global MT5)
PeriodH1 — Apr 2022 to Apr 2026
Initial Deposit$10,000.00 · Leverage 1:500
Total Net Profit$563,844.16
Gross Profit$828,629.83
Gross Loss-$264,785.67
Profit Factor3.13
Sharpe Ratio10.23
Recovery Factor38.66
Expected Payoff$11.95 per trade
LR Correlation0.99
Balance Drawdown Max$8,611.38 (2.91%)
Equity Drawdown Max$14,583.72 (5.23%)
Total Trades47,193
Win Rate (All Trades)69.95%
Long Trades Won26,478 trades — 72.18%
Short Trades Won20,715 trades — 67.09%
Largest Single Profit$17,350.00
Largest Single Loss-$6,761.48
Average Profit Trade$25.10

Momentum-Based
Gold Scalping

Gold ProfitFactor EA runs on H1 — catching short-term momentum moves on Gold with multiple entries, martingale recovery layers, and a hard cap to control risk.

01 📡
Signal Detection

Every H1 candle, the EA scans Gold for momentum signals — directional bias triggers both BUY and SELL entry queues simultaneously.

02
Fast Entry & TP

Positions open fast and close fast. Small take-profit targets mean the EA books profits frequently — this is the "ultra fast" multiplier engine.

03 🔢
Martingale Layers

If the initial position moves against the trade, controlled layers open at calculated distances. A hard 7-layer cap protects the account from uncapped exposure.

04 🛡️
Emergency Protection

Built-in margin monitor, emergency stop on margin failure, and a colored on-chart panel — the EA knows when to pause and when to close everything safely.

05 💰
Basket Profit Close

All open positions in the martingale basket close together when the weighted average TP is hit — locking in total basket profit in one clean exit.

06 🔄
Instant Reset

After basket close, the system resets immediately and hunts the next opportunity. No downtime — this is why it executes 47,193 trades in 4 years.

Every Edge.
Every Protection.

📊
Live Colored Dashboard Panel

On-chart panel showing balance, equity, floating profit, drawdown %, martingale layer count, and live order status — all color-coded for quick reading.

High-Frequency H1 Scalping

Designed to trade multiple times per day on Gold. Small TP, fast execution, continuous compounding — it never sits idle waiting for a perfect setup.

🔢
Hard 7-Layer Martingale Cap

Unlike uncapped martingale systems, Gold ProfitFactor caps recovery layers at 7 — preventing runaway position sizing that blows accounts.

🛡️
Emergency Margin Stop

Real-time margin level monitor. If margin drops below threshold, the EA immediately stops new entries — protecting capital before a spiral starts.

📐
Dynamic Weighted TP

As martingale layers open, the take-profit recalculates dynamically using a weighted average — always targeting the most efficient profitable exit.

📈
Auto-Compound Lot Sizing

Lot size scales automatically as the balance grows. Start small and let the system grow proportionally — this is the compounding multiplier effect.

🏦
Any MT5 Broker

Works on any MetaTrader 5 broker offering XAUUSD. ECN, STP, standard spreads — compatible across brokers and account types.

🤖
Fully Automated 24/5

Set it up once on a VPS and let it run continuously. No charts to watch, no alerts to respond to — pure passive automation.

What You Need
To Run It

💵
Minimum Deposit
$500 USD

Recommended $1,000+ for optimal lot sizing and recovery room

📈
Leverage
1:100 minimum

1:500 recommended for full martingale layer performance

🖥️
Platform
MetaTrader 5

Any MT5 broker supporting XAUUSD or GOLD pairs

⏱️
Timeframe
H1 (1 Hour)

Attach the EA to a 1-hour Gold chart and it configures automatically

🌐
VPS Recommended
24/5 Uptime

VPS ensures no missed trades during power cuts or internet drops

One Payment.
Run It Forever.

No monthly fees. No recurring charges. Buy once and own it.

1 Month
Rp 500K
License 1 Bulan
  • Full EA File (.ex5)
  • Default Set File
  • Support via Email
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3 Months
Rp 1.2M
License 3 Bulan
  • Full EA File (.ex5)
  • Default Set File
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6 Months
Rp 2M
License 6 Bulan
  • Full EA File (.ex5)
  • Optimized Set Files
  • Telegram Support
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1 Year
Rp 3M
License 1 Tahun
  • Full EA File (.ex5)
  • Optimized Set Files
  • Telegram Support
  • Free Updates
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Lifetime
Rp 5M
License Selamanya
  • Full EA File (.ex5)
  • All Set Files Included
  • VIP Telegram Support
  • Lifetime Free Updates
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Risk Disclosure: Trading Gold (XAUUSD) with an automated martingale EA carries significant financial risk. Backtest results showing +5,538% return are based on historical data under simulated conditions — they cannot guarantee identical live performance due to real-world factors including spread variation, slippage, liquidity gaps, and broker execution differences. Equity drawdown in backtests reached 5.23% under these conditions but may be higher in live markets, especially during high-volatility news events. The martingale recovery system increases position size during adverse moves — if margin is insufficient to support additional layers, this can result in significant losses. Always use conservative lot sizing, set appropriate margin thresholds, and only trade with capital you can afford to lose.