Axis 7even Core MT4

VELTIS / AXIS 7EVEN


Axis 7even Core - MT4


Seven markets. Seventeen strategy engines. One coordinated portfolio.
Seven markets, one portfolio, three consecutive profitable years.


Axis 7even Core is the core VELTIS portfolio system: seven H1 markets — EURUSD, USDJPY, GBPJPY, EURAUD, USDCAD, XAUUSD and WTI — coordinated inside one common risk and protection architecture.

It is not one strategy copied across seven symbols. The portfolio combines 17 independent market-specific strategy engines that can respond to different forms of trend continuation, momentum, pullbacks, breakouts, mean-reversion behaviour and reversals according to the characteristics of each instrument.

No Martingale. No Grid. No averaging into losses simply because a trade moved against the system.

Each market is analysed independently, while risk and protection are supervised at portfolio level. The result is a single automated portfolio designed to distribute trading opportunities across currencies, Gold and Oil while maintaining one coherent risk framework.


For questions about installation, technical specifications, compatibility, or general product support, please visit our MQL5 public support channel: CLICK HERE


The Case for Patience, Made With Real Numbers

The annual figures below are the official synchronized MT5 portfolio publication reference. MT5 is used for published portfolio backtests because the standard MT4 Strategy Tester is single-symbol and cannot reproduce the complete shared-account multi-market portfolio in one synchronized run. Each period restarted from EUR 10,000:

• 2023: +124.46%

• 2024: +350.62%

• 2025: +170.25%

• 2026 (to 26 Aug): +640.06%

The magnitude changed substantially with the market regime, but each of the three completed calendar years tested was profitable, with 2026 also profitable through 26 August. That consistency across different market environments is more important than any single annual figure.

What Continuous Compounding Produced Historically

In the synchronized MT5 portfolio reference, over the common 1 Jan 2024 to 26 Aug 2026 comparison window, a EUR 10,000 historical starting balance reached EUR 1,116,081 when percentage-based sizing was allowed to compound continuously. A longer supplementary continuous record beginning in 2023 reached EUR 1,811,787 and is documented separately because it predates the common three-tier comparison window.

These are historical synchronized MT5 Strategy Tester results, not annualized rates and not projections of future account growth.


Cross-Broker, Cross-Year — Not a Single Lucky Screenshot


Across the same 2026 synchronized MT5 reference test window, Axis 7even Core remained profitable on BlackBull, Pepperstone, IC Markets and FxPro. Net profit ranged from EUR 55,108 to EUR 64,005, Profit Factor from 1.72 to 1.82, and trade count from 200 to 208.

For the longer continuous 2024–2026 window, BlackBull and Pepperstone both remained strongly profitable where sufficient long-window history was available. The different final balances are disclosed because compounding amplifies even modest differences in broker data and execution.


MT4 Testing & Validation Methodology

The standard MT4 Strategy Tester is fundamentally single-symbol. It cannot natively reproduce the complete synchronized seven-market Axis portfolio in one shared account with the same portfolio state, shared balance and cross-market protection used in MT5. For that reason, VELTIS does not add standalone MT4 symbol profits together to manufacture a portfolio performance claim. The annual, continuous and cross-broker portfolio figures in this description remain the official synchronized MT5 publication evidence for the same Axis strategy architecture.

The MT4 edition was validated behaviorally in layers: equivalent controlled inputs were compared per market; trade-affecting candidates and decisions were checked; and accepted events were replayed chronologically through portfolio filters, engine-health state, open-position state, shared balance, percentage-based risk sizing and broker-step volume rounding.

On the controlled common historical input set, Axis 7even Core matched 468/468 trade-affecting candidates with no missing or extra candidates. The synchronized portfolio replay matched 200/200 accepted entries, and the reconstructed realized-profit difference was EUR 0.00.

This establishes behavioral implementation parity under controlled common inputs. It is not a promise that MT4 and MT5, or two different broker feeds, will print identical live tickets: candles, spread, fills, symbol specifications and execution can legitimately differ.


Why Selectivity Matters

Seven markets do not mean seven markets must always be trading. Each engine waits for its own qualifying setup, and the portfolio remains inactive where conditions do not justify new exposure. The goal is coordinated opportunity, not maximum trade count.


Portfolio Risk Architecture

Axis 7even Core uses percentage-based position sizing and three predefined portfolio risk profiles. STANDARD represents the full tested allocation and is the default configuration.

• CONSERVATIVE — 0.50×

• MODERATE — 0.75×

• STANDARD — 1.00×


Layered Protection for a Wider Portfolio

• Per-engine health — each strategy is judged independently on its recent outcomes.

• Portfolio Core — rising realized drawdown across the H1 basket automatically compresses new exposure.

• Account Protection — staged alerts and a latched 30% new-entry shutdown provide an independent account-level guard.

With more markets and more engines, portfolio-level coordination matters more, not less. A weakening strategy can be reduced without requiring the healthy parts of the portfolio to behave the same way.


No Grid. No Martingale.

Axis 7even Core does not depend on progressive loss-based lot multiplication, recovery grids or endless averaging. Trades are generated by the individual engines and sized from the common percentage-based risk framework. Under the standard configuration, only one active position per market symbol is allowed at a time.


One EA. One Chart. Seven Markets.

The system monitors all seven markets internally from one chart. Broker-symbol recognition resolves common aliases and suffixes, while operational checks validate market availability, trading permissions, contract specifications, margin conditions and strategy initialization before the system reports readiness.


Automatic Symbol Recognition

Broker naming conventions are inconsistent, particularly for Gold and Oil. Axis contains a broker-portability resolver designed to identify compatible representations of the required markets, including common aliases and suffixes. Manual overrides remain available where necessary, but normal operation is designed around automatic recognition and validation of compatible instruments.


Real-Time Portfolio Dashboard

• Balance and Equity, Drawdown and Open P/L

• Risk Profile and Portfolio Scale

• Market Status and Individual Engine States

• Health and Protection Information

• System Readiness


Why Traders Choose Axis 7even Core

Axis 7even Core was built around a clear philosophy: real diversification, layered protection, and verified consistency across a full market portfolio.

Its core advantages include:

• The complete seven-market coordinated portfolio with 17 independent strategy engines.

• Three consecutive profitable annual MT5 reference years plus a profitable 2026 YTD period, independently verified on BlackBull and tested across four brokers.

• No Grid, no Martingale and no hidden recovery averaging.

• Every position protected by three independent layers, not a single stop loss

• Adaptive per-engine health tracking across all seven markets

• Portfolio-level and account-level drawdown throttles, active from the first trade

• Selective entry system focused on qualified setups, not trading frequency

• Fully automated execution with no manual intervention required

• Three predefined risk profiles: Conservative, Moderate, Standard

• Plug & Play installation with tested default settings

• Completed cross-platform MT4/MT5 behavioral parity: 468/468 controlled trade-affecting candidates matched, 200/200 synchronized accepted entries matched, and reconstructed realized-profit difference was EUR 0.00.

Seven markets. Seventeen engines. One discipline: wait for qualified opportunity, control risk at portfolio level, and let diversification do the work it was built to do.


How It Works

Axis 7even Core was designed to make disciplined, full-portfolio trading accessible without requiring constant manual supervision. Here is how it operates:

• Plug & Play installation — attach Axis 7even Core to one H1 chart (typically USDJPY H1), select a risk profile, and let the EA handle the rest.

• Optimized default configuration — no manual parameter optimization is required for standard operation.

• Continuous independent monitoring — each of the seven markets is analysed by its own dedicated engines, around the clock.

• Selective execution — a position opens only when a specific engine's own qualifying conditions are met.

• Layered risk from entry — per-engine health, portfolio-level throttle, and account-level protection are active from the very first trade.

• Automatic broker-symbol resolution — the EA identifies and validates compatible instruments across brokers before trading.

• No emotional decisions — every action follows predefined, tested logic.


Inputs

Risk Profile

• InpRiskProfile — Conservative (0.50×), Moderate (0.75×) or Standard (1.00×, full tested sizing). Scales the entire portfolio's risk allocation. Default: Standard.

Notifications

• InpEnablePortfolioEmailAlerts — enables or disables email notifications for portfolio-level drawdown alerts. Default: true.

Display

• InpShowDashboard — shows or hides the on-chart dashboard. Default: true.

• InpDashboardScalePercent — dashboard size, 70–150% supported; auto-fits to chart width. Default: 100.

Advanced — Symbol Overrides (leave blank for Auto)

• InpAutomaticSymbolDetection — recommended on; lets Axis resolve broker-specific symbol names automatically. Default: true.

• EURUSD / USDJPY / GBPJPY / EURAUD / USDCAD / XAUUSD / WTI symbol override — manual override fields, needed only if automatic detection cannot resolve your broker's specific symbol naming.


Requirements

• Platform: MetaTrader 4

• Markets: EURUSD, USDJPY, GBPJPY, EURAUD, USDCAD, XAUUSD, WTI (H1)

• Recommended: Broker with tight spreads on these instruments

• Recommended balance and Leverage: 5000 starting balance, 1:100 leverage, 3000 would also work but the EA would reduce exposure if many concurrent trades occur and margin limit is hit

• Account type: Standard MT4 trading account. Under the standard configuration, the EA enforces one active position per market symbol.

• VPS: mandatory for uninterrupted 24/5 operation


LIMITED LAUNCH ALLOCATION — 50 LICENSES

Axis 7even Core will be released with a limited initial allocation of licenses at the launch price. Once that allocation is sold, pricing will be reviewed together with the developing live-trading record and operating history. If the additional evidence continues to support the system's historical profile, subsequent license allocations may be offered at a higher price. The initial allocation therefore rewards early adopters for committing while the public live record is still younger; it is not a promise of future performance.


RISK DISCLOSURE

Published synchronized portfolio backtests are generated in MT5; the MT4 edition is validated through the parity methodology described above. Historical backtests and technical validation describe historical behaviour and implementation consistency; they do not guarantee future performance. Live results can differ because of market data, spreads, slippage, liquidity, broker execution, contract specifications, leverage, margin conditions and future market regimes. Portfolio protection is designed to restrict additional exposure during severe drawdown conditions, but no automated mechanism can guarantee a fixed maximum loss.


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The Meat EA is a fully automatic, 24-hour trading system. It trades based on analysis of market movement on the basis of a built-in indicator and the Moving Average trend indicator. The system is optimized for working with the EURUSD currency pair on the M30 timeframe. It is recommended to use an ECN/STP broker with low spread, low commission and fast execution. Signal monitoring Working currency pair/timeframe: EURUSD M30. Advantages never trades against the market; the higher the risk, the hi
PointerX
Vasja Vrunc
PointerX is based on its own oscillator and built-in indicators (Pulser, MAi, Matsi, TCD, Ti, Pi) and operates independently. With PointerX you can create your own strategies . Theoretically all indicator based strategies are possible, but not martingale, arbitrage, grid, neural networks or news. PointerX includes 2 Indicator Sets All Indicator controls Adjustable Oscillator Take Profit controls Stop Loss controls Trades controls Margin controls Timer controls and some other useful operations. T
Milch Cow Hedge
Mohamed Nasseem
MILCH COW HEDGE V1.12 EA is primarily a Hedging Strategy. Expert support is to seize every opportunity in any direction. Not just opens the deals, but chooses the right time to close the open positions to begin trading again. We recommend the use of an expert with a pair of high volatility for the currency, such as GBPAUD, AUDCAD Testing expert during the period from 01.01.2016 until 09.12.2016 profit doubled four times to account Experts interface allows the user to directly trading open order
Forebot
Marek Kvarda
This robot uses a custom hidden oscillating indicator and also analyzes the market response. It traded mostly at the time of higher volatility. It works with several pending orders with different size of volume and their position actively modifies. It uses advanced money management. TradingMode setting can also meet the conditions FIFO. It is successful in different markets and different timeframes. Best results are achieves with a broker with the spread to 5 points on EURUSD. Is necessary a br
Avato
Nikolaos Bekos
The Avato is one of our standalone tools. (A Signal based on it will also be provided on Mt4 Market in the future). It is designed around a combined form of hedging and martingale techniques and uses sophisticated algorithms and filters to place the trades. It uses Stop loss and Take profit levels while Lot size is calculated automatically following the according multiplier settings. We consider it a toolbox for every seasoned trader. Made with Gold market in mind, it can be tested in other inst
AreaFiftyOne
Valeri Balachnin
Area 51 EA generates signals on different strategies. Has different money management strategies and dynamic lot size function. When a position is opened, it is equipped with a take profit and a stop loss. If the position becomes profitable, a dynamic stop loss based on the specified values (TrailingStep and DistanceStep) will be set for it and constantly trailed. This allows you to always close positions in profit.  If you want, that your manual opened positions will be handled by the EA, so you
Note : the spread value,  the broker's slippage and the VPS speed affect the Expert Advisor trading results. Recommendations: gold with spread up to 3, USDJPY with spread up to 1.7, EURUSD with spread up to 1.5. Results will be better with better conditions. The Ping value between VPS and the broker server should be below 10 ms. In addition, the smaller the broker's stop-level requirement, the better; 0 is the best. The Expert Advisor is based on a breakthrough system and carefully controls all
Milch Cow Extra
Mohamed Nasseem
EA is primarily a Hedging and Multiples Strategy. It support to seize every opportunity in any direction as MILCH COW MIX but with multiple profit results without increasing the risk. Milch Cow Mix EA starts to open Hedge at first level only But EA opens Hedge at every level Not just opens the deals, but chooses the right time to close the open positions to begin trading again. We recommend the use of an expert with a pair of high volatility for the currency, such as GBPAUD, AUDCAD Experts inter
Milch Cow Turbo
Mohamed Nasseem
MILCH COW Turbo EA is primarily a multi-currency strategy. It supports 9 or 10 pairs as collection of currencies (GBPJPY, GBPUSD, EURCHF,EURGBP, EURJPY, EURUSD, USDCAD, USDCHF, USDJPY). If you choose Trade_Calc = false, only one pair is turned on. The EA depends on a special indicator to set Buy stop, Buy limit, Sell stop and Sell limit orders Note: If enabled Pendingorders = false, the EA will use the prices shown on the chart in live orders (buy and sell). In this case, the EA uses stop loss a
AnyWay
Mohamed Nasseem
"ANYWAY EA" is a tool designed to handle your trades in a different concept, which does not start its trailing by locking in profit. It just moves stop loss by 1. It will step the SL by 1 so for every 1 pip the SL moves to 19, 18, 17, etc. The brokers can see this and do nothing to deal with it. While you are sitting there waiting for it to lock in the points it has already made. All these stop losses and take profits can be hidden from the broker by selecting SLnTPMode = Client. Run the EA on a
Perfection
Mikhail Senchakov
Perfection is a multicurrency, fully automated and secure trading robot. The robot is designed for both portfolio trading and trading a single instrument. The EA does not use averaging methods, the volume of positions is strictly regulated. Orders are opened only in the direction of market movement in a grid. Due to this, the robot operates efficiently on any strong movements. The decision making algorithm does not use indicators. Instead, the robot automatically calculates the key levels, which
Momento
Gurneet Singh
The Expert Advisor itself uses anomalies in momentum to identify short term bursts within the market to capture profit. With the use of the standard deviation and variance, the EA looks for changes in the Average True Range in order to place trades at peaks and troughs within the market that have the highest probability of establishing a new trend. It uses a number of different mathematical principles as well as embedded custom indicators.   When using this expert advisor, there are four require
Milch Cow Zone
Mohamed Nasseem
Milch Cow Zone EA is an amazing tool designed to handle your losing trades in a different concept rather than using Stop Loss feature and ensure almost a profitable outcome regardless of market direction when closing orders according to a smart hedging mechanism "back-and-forth". It works by changing net direction of your trade using larger hedging trades in opposite directions. The Expert Advisor starts opening one order with a market trend or opening one order of your choice or opening the hed
Demiro
Mehmet Serdar Demir
Demiro is an EA which performs orders by assessing Bollinger Bands indicator and price action. The EA expects a price action when the price exceeds the Bollinger bands upper band or falls under the Bollinger bands lower band. The EA can perform multiple orders. Only the first order is performed with the assessment of Bollinger bands indicator and price action. The following orders are performed according to the price movement differences only. When the current price is higher or lower then the f
Introduction to Smart Trade Price Action Expert Advisor Smart Trade Price Action is an Expert Advisor (EA) with a flexible and diverse trading strategy, operating across 15 currency pairs on the All  timeframe. This approach enhances the chances of sustainable growth while reducing the risk of relying on a single pair or individual trades. Risk management is strictly controlled, ensuring the safety of your capital. With a simple setup, Smart Trade Price Action requires no specialized knowledg
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