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  • Dynamic Liquidity Intelligence MT5 Expert Advisor cover
  • Dynamic Liquidity Intelligence MT5 backtest balance and equity curve
  • Dynamic Liquidity Intelligence MT5 backtest trade history distribution
  • Dynamic Liquidity Intelligence MT5 backtest MFE and MAE analysis
  • Dynamic Liquidity Intelligence MT5 backtest holding time chart

Dynamic Liquidity Intelligence

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Original price was: $149.90.Current price is: $19.90.

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MT5GOLD/XAUUSDM15B123 Quant TestedLow DrawdownTrend Following, Recovery
MT5 Expert Advisor Package With Exclusive Test Data

Dynamic Liquidity Intelligence is a ready-to-download MT5 Expert Advisor package with exclusive B123 Quant test data, parsed inputs, visual evidence, and private account delivery after purchase.

Net Profit
$759.74
Return
7.60%
Win Rate
83.13%
Max Drawdown
1.27%

Snapshot

Product
Dynamic Liquidity Intelligence
Market
GOLD/XAUUSD
Timeframe
M15
Test Period
2026-01-01 to 2026-05-20

Included Package

Dynamic Liquidity Intelligence MT5 Expert Advisor package prepared for private download delivery after purchase.

After checkout, the package is delivered through WooCommerce download permissions, with account license/resource records kept for the order.

Visual Report

Backtest visuals are placed near the top so buyers can inspect the equity curve and report screenshots before reading the full metrics table.

Dynamic Liquidity Intelligence MT5 backtest balance and equity curve
Dynamic Liquidity Intelligence MT5 backtest balance and equity curve
Dynamic Liquidity Intelligence MT5 backtest trade history distribution
Dynamic Liquidity Intelligence MT5 backtest trade history distribution
Dynamic Liquidity Intelligence MT5 backtest MFE and MAE analysis
Dynamic Liquidity Intelligence MT5 backtest MFE and MAE analysis
Dynamic Liquidity Intelligence MT5 backtest holding time chart
Dynamic Liquidity Intelligence MT5 backtest holding time chart

Backtest Metrics

Metric Value
Platform MT5
Symbol GOLD/XAUUSD
Timeframe M15
Test Period 2026-01-01 to 2026-05-20
Initial Deposit $10,000.00
Net Profit $759.74
Return 7.60%
Max Drawdown 1.27%
Win Rate 83.13%
Total Trades 166
Profit Factor 1.84
Risk Profile Low Drawdown

Backtest Evidence

Exclusive B123 Quant test data: these figures were generated in our own MT5 Strategy Tester run for this exact package, symbol, timeframe, date range, and settings. A copy offered elsewhere under the same EA name does not include or inherit this test record.
Metric Value
Product Dynamic Liquidity Intelligence
Platform MT5
Symbol GOLD/XAUUSD
Timeframe M15
Test Period 2026-01-01 to 2026-05-20
Initial Deposit $10,000.00
Net Profit $759.74
Max Drawdown 1.27%
Profit Factor 1.84
Total Trades 166

The stored report and visual evidence let buyers inspect the exact B123 Quant test profile before purchase.

Strategy Notes

Dynamic Liquidity Intelligence is classified from the parsed report and settings as: Trend Following, Recovery.

Use the strategy label to quickly decide whether the package matches the kind of setup you want to test on GOLD/XAUUSD M15.

The main risk signal is the 1.27% maximum drawdown, classified here as Low Drawdown. Review the visual report, trade count, spread sensitivity, broker execution, and parameter stability before live deployment.

Input Parameters

Showing 40 key parsed inputs from 47 detected settings for quick setup reference.

Parameter
StrategyPresetMode
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
LotSettingsGuide
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
LotMode
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
TradeFixLots
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
RiskPercentPerTrade
Default
Text label
Meaning
Controls account-risk based sizing or an internal risk level.
Setup Note
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.
Parameter
RiskPercentMinLot
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
RiskPercentMaxLot
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
AutoLotManualBalance
Default
Text label
Meaning
Controls trade volume or the base position size used by the EA.
Setup Note
Higher lot size increases profit potential and drawdown pressure at the same time.
Parameter
InpEnableRecoveryMode
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
TradingSessionGuide
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
TradeOnlyWhenSessionOpen
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowSunday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowMonday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowTuesday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowWednesday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowThursday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowFriday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
AllowSaturday
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
UseFridayStopTradingBeforeSessionClose
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
FridayStopTradingHoursBeforeSessionClose
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
NewYearTradePauseWindow
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
UseGoldMarketHolidayFilter
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
GoldMarketHolidayStopHoursBeforeStart
Default
Text label
Meaning
Controls trading session, server-time adjustment, or day-based restrictions.
Setup Note
Incorrect time settings can shift entries into high-spread or low-liquidity periods.
Parameter
DailyOrderLimitGuide
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
UseDailyOrderLimit
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
MaxOrdersPerDay
Default
Text label
Meaning
Limits the number of open, pending, or sequential trades.
Setup Note
Higher limits increase trade capacity but can concentrate risk during adverse markets.
Parameter
TrailingCommissionGuide
Default
Text label
Meaning
Controls trailing stop or breakeven protection after a position moves into profit.
Setup Note
Tighter protection locks gains earlier but may exit normal pullbacks too soon.
Parameter
UseCommissionCompensationForTrailing
Default
Text label
Meaning
Controls trailing stop or breakeven protection after a position moves into profit.
Setup Note
Tighter protection locks gains earlier but may exit normal pullbacks too soon.
Parameter
LiquidityTrendlineGuide
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowBuySideLiquidityTrendline
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowSellSideLiquidityTrendline
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
OrderBlockGuide
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowBuySideLiquidityOrderBlock
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowSellSideLiquidityOrderBlock
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
MarketStructureGuide
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowMarketStructureShift
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
ShowBreakOfStructure
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
TrailingVirtualGuide
Default
Text label
Meaning
Controls trailing stop or breakeven protection after a position moves into profit.
Setup Note
Tighter protection locks gains earlier but may exit normal pullbacks too soon.
Parameter
ShowFirstLockVirtualLine
Default
Text label
Meaning
Author-defined strategy input exposed by the EA package.
Setup Note
Use this setting together with the other inputs shown in the table.
Parameter
PendingStopRiskGuide
Default
Text label
Meaning
Controls account-risk based sizing or an internal risk level.
Setup Note
A higher risk value can increase exposure, margin use, and peak-to-valley drawdown.

Recommended Trading Environment

For Dynamic Liquidity Intelligence, execution quality matters as much as the file itself. Use this checklist before running the MT5 expert advisor on GOLD/XAUUSD M15.

Broker execution
  • Raw-spread or ECN-style conditions
  • Stable GOLD/XAUUSD spread
  • No abnormal requotes
VPS latency
  • Hosted near broker servers
  • Low ping and 24/7 uptime
  • Auto restart after maintenance
Risk control
  • Start with demo or small capital
  • Compare live spread with test assumptions
  • Size capital from drawdown tolerance

Current profile: Low Drawdown. B123 Quant keeps broker and VPS guidance neutral unless a partner has been separately reviewed for execution, latency, and transparency.

FAQ

What do I receive after purchase?

You receive the MT5 Expert Advisor package, setup notes, parsed input reference, and private download delivery through your B123 Quant account.

Which platform does this EA support?

Dynamic Liquidity Intelligence is listed as an MT5 Expert Advisor package.

Which symbol and timeframe should I test first?

Start with the listed profile: GOLD/XAUUSD on M15, then compare results under your own broker spread, commission, and execution settings.

What files are included?

The package includes the MT5 Expert Advisor resource, setup notes, and private download delivery after purchase; review the page for any source, setfile, or bundle details.

What was the test period for Dynamic Liquidity Intelligence?

The public backtest profile covers 2026-01-01 to 2026-05-20 on GOLD/XAUUSD M15, with the detailed visual report and metrics shown on this page.

Do other copies of this EA include these results?

No. This is an exclusive B123 Quant test dataset generated in our own Strategy Tester run for this exact package and profile; another listing with the same EA name does not inherit these results.

Why is Dynamic Liquidity Intelligence priced at $19.90?

The price follows the B123 Quant performance tier rule for Profit Under 1K products and reflects the delivered package, setup reference, visual report, and disclosed backtest profile.

Can I test this EA under prop-firm-style rules?

Yes, but rules vary. Compare daily loss, total drawdown, news, lot-size, holding-time, and consistency restrictions before using any funded account.

How do I install Dynamic Liquidity Intelligence?

Download the licensed package from your account, place the file in the appropriate MetaTrader Experts folder, restart the platform, then attach it to the intended chart.

Which broker conditions are recommended?

Use a stable account with transparent commission, controlled spread on GOLD/XAUUSD, no abnormal requotes, and execution conditions close to the assumptions you plan to test.

Should I use a VPS?

A VPS near the broker server can reduce downtime and execution latency, especially for strategies sensitive to spread, slippage, or session timing.

Do I receive updates after purchase?

Downloads and license records are handled through your B123 Quant account. Any available package update is delivered through the product download area.

Risk Warning

Historical backtests are not a guarantee of live-account results.

Conclusion

Dynamic Liquidity Intelligence gives buyers a private MT5 Expert Advisor package, setup reference, parsed inputs, and disclosed backtest evidence for the listed GOLD/XAUUSD M15 profile.

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Dynamic Liquidity Intelligence MT5 Expert Advisor cover Dynamic Liquidity Intelligence

Original price was: $149.90.Current price is: $19.90.