Axis 7even Focused MT5

VELTIS / AXIS 7EVEN


Axis 7even Focused

Focused multi-market portfolio automation

Four markets. Three complete profitable years. 2026 profitable YTD.

Most Expert Advisors are ultimately dependent on one instrument or one trading idea. Axis 7even Focused takes a different approach: it coordinates a focused four-market portfolio across USDJPY, USDCAD, XAUUSD and WTI, with independent market-specific engines working inside one common risk and protection framework.

No Martingale. No Grid. No recovery mode that increases exposure simply because the previous trade lost. Each market earns its own exposure from its own strategy logic and recent health state, while portfolio-level protection supervises the account as a whole.


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


One Portfolio. Different Market Behaviour

Currencies, Gold and Oil do not respond to the same conditions in the same way. Axis 7even Focused was designed around that reality. Rather than copying one universal strategy across every symbol, the portfolio combines dedicated market logic selected for the characteristics of each.

Built for the Long Game, Not the Lucky Month

Axis 7even Focused was designed to be evaluated across complete market periods, not judged from one attractive screenshot. In standardized annual Strategy Tester research, each period restarted from EUR 10,000 so no year borrowed compounded capital from the previous one:

2023: +156.91%

2024: +287.79%

2025: +235.53%

2026 (to 26 Aug): +364.91%

The important point is not one headline year. It is that all three completed calendar years were profitable in the standardized research, with 2026 also profitable through 26 August.

What Continuous Compounding Produced Historically

When the portfolio was left running continuously over 1 Jan 2024 to 26 Aug 2026 instead of being reset each year, the EUR 10,000 starting balance reached EUR 750,659. This is a historical multi-year Strategy Tester result over roughly 2.7 years, not an annual return and not a forecast of future performance.


Why It Won't Trade Every Single Day — On Purpose

Some periods produce several opportunities across the four markets. Others produce relatively little activity. That is intentional. The underlying engines wait for their own qualifying conditions rather than manufacturing trades simply to look active. Selectivity is part of the architecture, not a malfunction.

Tested Across Broker Environments

Over the same 2026 comparison window, Axis 7even Focused remained profitable in standardized MT5 testing on BlackBull, Pepperstone, IC Markets and FxPro. Across those four broker environments, net profit ranged from EUR 36,490 to EUR 43,843, Profit Factor from 1.73 to 1.92, and trade count from 132 to 137.

Broker-to-broker results are not expected to match exactly. The value of the comparison is that the strategy remained viable across four independent price feeds and execution specifications rather than depending on one broker history.

Risk Levels

Axis 7even Focused uses percentage-based position sizing and a simplified three-profile risk framework. The user selects the overall portfolio profile while the internal strategy architecture remains protected from unnecessary optimization.

CONSERVATIVE — 0.50×

MODERATE — 0.75×

STANDARD — 1.00× (default, full tested allocation)


Three Protection Layers, Working Independently

Risk management is not limited to the stop loss of an individual trade. Axis also monitors portfolio drawdown through three independent layers:

Per-engine health — each strategy is judged on its own recent outcomes; a weakening engine is scaled back without touching the healthy ones.

Portfolio-level drawdown throttle — rising basket-wide stress compresses new exposure automatically (roughly 75% → 50% → 25% of normal size).

Account-level guard — a 20% alert, 25% warning, and a latched 30% new-entry shutdown, independent of everything else.


A NOTE ON LIMITS

The protection architecture is a risk-control mechanism, not a guarantee of a fixed maximum loss. Gaps, slippage, execution conditions and positions already open can affect realized drawdown.


No Grid. No Martingale.

Axis 7even Focused does not multiply lot size after losses, build recovery grids or average indefinitely into adverse movement. Every trade is generated by defined strategy logic and sized from the selected portfolio risk profile. Under the standard configuration, only one active position per market symbol is permitted at a time.


One-Chart Portfolio Operation

Axis 7even Focused is designed to coordinate the complete portfolio from one chart. The EA monitors the required markets internally and provides consolidated operational status instead of requiring four separate copies of the EA and four separate dashboards.


Broker-Portability Architecture

Different brokers use different symbol names, suffixes and contract conventions. Axis includes automatic symbol-resolution logic designed to identify compatible representations of its required markets, including broker-specific naming for instruments such as Gold and Oil. Compatibility can never be assumed for every broker or instrument — the EA validates the resolved market before operation rather than silently forcing an unsuitable contract.


The Axis Dashboard

The VELTIS portfolio dashboard provides a consolidated real-time view of the system:

Balance and Equity

Drawdown and Open P/L

Risk Profile and Portfolio Scale

Open Positions

Individual Market Status

Individual Engine States

Portfolio Protection Status

System Readiness


Why Traders Choose Axis 7even Focused

A coordinated four-market portfolio rather than dependence on one instrument.

Three completed profitable annual test years plus a profitable 2026 YTD period.

Standardized cross-broker evidence across four MT5 broker environments

No Grid, no Martingale and no hidden recovery averaging.

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

One position per market symbol, enforced in code — not just described in marketing copy

Adaptive per-engine health tracking — a weakening engine is scaled back without touching the healthy ones

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

Published, downloadable evidence — not a highlight reel


NOTE

Axis 7even Focused is not built around winning a single week. It is built around a selective, diversified portfolio architecture designed for the long run.


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.

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


Requirements

Platforms: MetaTrader 5

Markets: USDJPY, USDCAD, XAUUSD, WTI (H1)

Recommended broker: Broker with tight spreads on these instruments

Recommended min. deposit and leverage: $2000 (if the leverage >= 1:100); $3000 (works also with 1:30 leverage but it may be forced to reduce the exposure if margin limit is reached). This can also be set up by the Risk Profile input in a way that it trades more conservatively and therefore reducing the exposure. 

Account type: Any — the EA's own one-position-per-symbol rule makes it safe on either Hedging or Netting accounts

VPS: mandatory for uninterrupted 24/5 operation


LIMITED LAUNCH ALLOCATION — 50 LICENSES

Axis 7even Focused 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

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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[ IMPORTANT ] REAL CLIENT FEEDBACK :  https://www.mql5.com/en/market/product/127498/comments#comment_58814415 [ IMPORTANT ]  UPDATED (1 YEAR PERFORMANCE):  https://www.mql5.com/en/market/product/127498/comments#comment_59233853 [ IMPORTANT ]  UPDATED (1 YEAR 6 MONTHS PERFORMANCE):  https://www.mql5.com/en/market/product/127498/comments#comment_60000067 [ IMPORTANT ]  UPDATED  (2026/09):  https://www.mql5.com/en/market/product/127498/comments/page2#comment_60389797 Follow the channel for the l
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Strong: A Powerful Forex Bot for Multi-Currency Trading Strong is an automated tool for trading on the Forex market, utilizing modern technologies and algorithms. It is designed for traders who aim to improve the efficiency of their trading and reduce risks in a constantly changing market. Key Features of Strong Multi-Profile Trading: Strong supports a wide range of currency pairs, including both major and exotic assets. This allows traders to diversify their portfolios and adapt strategies to
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Two lines, always circling — 21 and 49. Most of the time they say nothing. Then they cross, and the system stops waiting. It closes what it was holding, opens what the cross demands, and sets its stop and target without asking twice. Risk is sized off the account itself, not fixed guesses — one bad calculation and it simply declines to trade at all. No indecision, no averaging in. Every new bar gets exactly one verdict. Built for any symbol, any timeframe. Fast against slow — the rest is ari
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8+ years of live track record with +12,000% account growth: Live performance MT 4 version can be found here Waka Waka is the advanced grid system which already works on real accounts for years. Instead of fitting the system to reflect historical data (like most people do) it was designed to exploit existing market inefficiencies. Therefore it is not a simple "hit and miss" system which only survives by using grid. Instead it uses real market mechanics to its advantage to make profit Supported cu
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