MT5 Expert Advisor · Multi-pair Live · Myfxbook #11965936

IMPERIUM
PATTERN EA
MT5

Imperium runs a single "Imperial Signal Equation" — a proprietary Supertrend variant with exponential volatility damping. Entry requires ADX confirmation, AO momentum, triple EMA alignment, and a candlestick pattern filter. All entries placed as pending stop orders. RSI dynamic exit closes profitable positions only after a configurable minimum profit threshold is cleared.

+6.2%
Combined · 2 accounts
Live gain
1.29
Profit Factor
Main account
2
Live accounts
Myfxbook
Verify live
Independent audit
Imperium Pattern EA MT5
$399
one-time payment · lifetime license · 15 MT5 activations
15 activations per license
Lifetime license · No subscription
Free future updates forever
Direct developer support
No martingale · No grid · No scalping
MetaTrader 5 (.ex5 file)
Set files for all major pairs
▲ +6.2% live · 2 Myfxbook accounts
Buy Imperium Pattern EA MT5 → Verify on Myfxbook →
No martingale
No grid trading
Fixed stop loss
99.9% tick data tested
Monte Carlo stress-tested
Prop firm compatible
Indicator system

6-LAYER CONFIRMATION

Every trade entry requires alignment of 6 independent indicator systems. This is the most sophisticated version of the Imperium pattern — built for MT5 with advanced exit management and news event avoidance.

📊
ADX + RSI + CCI
Trend strength, momentum, and price channel analysis — all three must align before any entry is considered.
Awesome Oscillator + 6 EMAs
Market momentum verification plus multi-timeframe EMA analysis across 5, 10, 20, 50, 100, 200 periods.
📰
News Filter Integration
Economic calendar integration monitors USD, EUR, GBP, JPY, CAD, AUD, NZD, CHF. Configurable pre/post news avoidance windows.
🎯
8 Exit Types
RSI exits, MACD cross exits, ADX weakness exits, break-even, adaptive TP, partial close, time-based exits — all independently configurable.
🛡️
Break-Even Management
Automatic break-even adjustment at specified profit levels. Partial position closing to lock profits while letting winners run.
⚙️
Full Configuration
Every indicator, every exit, every risk parameter is independently adjustable. Fixed lot or percentage risk modes. One trade per bar option.
Backtest results — v46.0

PORTFOLIO TESTS

Latest full portfolio test for v46.0 with correlation diversification analysis. Click to expand.

Why portfolio analysis matters
01
Real-world Application
Trading algorithms are designed to operate in a multi-asset, dynamic market. Portfolio analysis simulates real-world conditions, helping you understand how your algorithm performs when managing a range of assets simultaneously.
02
Risk Management
Successful trading is not just about maximizing returns but also about minimizing risk. Portfolio analysis allows you to gauge the algorithm's ability to balance risk and return, helping you fine-tune risk management strategies.
03
Diversification Impact
A well-structured portfolio reduces reliance on a single asset, spreading risk. Portfolio analysis shows how your algorithm handles asset correlations, diversification, and its impact on overall portfolio stability.
04
Robustness Testing
By subjecting your algorithm to various market conditions, portfolio analysis reveals its robustness — whether it can adapt to different market trends, volatility levels, or economic events.
05
Performance Metrics
Portfolio analysis provides a comprehensive view of returns, volatility, drawdowns, and the Sharpe ratio — offering insights into the algorithm's profitability and risk-adjusted returns across all pairs.
06
Optimization Insights
Through portfolio analysis you can identify asset allocation strategies that maximize returns while managing risk, helping you optimize the EA for better real-world outcomes.
07
Continuous Improvement
Portfolio analysis guides ongoing refinement — ensuring the algorithm remains effective in evolving market conditions rather than being optimised for a single historical period.
Portfolio analysis is the linchpin of trading algorithm validation. It evaluates real-world viability, risk management capabilities, and overall performance within a diversified portfolio context.
Portfolio Correlationv46.0 · Diversification analysis
Imperium MT5 correlation
Pair TestsMulti-year · 99.9% tick
Imperium MT5 test 1Imperium MT5 test 2
Pair TestsMulti-year · EURUSD · GBPUSD
Imperium MT5 test 3Imperium MT5 test 4
Additional PairsUSDJPY · AUDUSD · XAUUSD
Imperium MT5 test 5Imperium MT5 test 6
More PairsNZDUSD · USDCAD · CHFJPY
Imperium MT5 test 7Imperium MT5 test 8
Additional TestsFurther pair analysis
Imperium MT5 test 9Imperium MT5 test 10
📊 Full Portfolio Report — ErgodicLabs Edge Matrix6 pairs · 2019–2026 · 479 trades
4.45
Profit Factor
78.3%
Win Rate
7.5%
Max Drawdown
9.11
Sharpe Ratio
4
Max Consec. Losses
📥 View Full Report →
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6 INDICATORS.
ONE VERDICT.

The most advanced Imperium Pattern EA. v46.0. News filter. 8 exit types. Lifetime license.

Past performance is not indicative of future results. Trading involves risk. Use at your own discretion.

What you need to run this EA
IC Markets MY BROKER · 5YRS
ECN broker · MT4/MT5/cTrader · Raw spreads
Dipgate VPS MY VPS · 3YRS
Low-latency forex VPS · 24/5 uptime