Pro Master Range Breakout EA V25 ->
Try Basic Master breakout | Upgrade to Unlimited Master Breakout EA Professional Range Breakout Strategy for Consistent Profits
Transform your trading with this sophisticated range breakout system designed for optimal performance across all market conditions.
Core Strategy
This EA identifies consolidation ranges during specified time periods and executes breakout trades when price moves beyond these ranges with confirmation. Perfect for trending markets and volatile sessions.
Key Features
- Time-Based Range Detection: Configurable range identification periods
- Multi-Filter Confirmation: Trend, volume, and breakout strength filters
- Advanced Money Management: Fixed lots, percentage risk, or balance-based sizing
- Professional Trailing Stops: Fixed points or ATR-based dynamic trailing
- Break-Even Protection: Automatic break-even stops with configurable offset
- Risk-Reward Optimization: Configurable R:R ratios up to 5:1
- Day Filter: Trade only on selected weekdays
- Range Size Validation: Filter out ranges that are too small or large
Money Management Options
- Fixed Lot Size: Consistent position sizing
- Percentage Risk: Risk a fixed percentage of account balance
- Balance-Based: Dynamic sizing based on account growth
Advanced Features
- Trend Filter: MA-based trend confirmation (EMA/SMA/LWMA/SMMA)
- Volume Confirmation: Ensure adequate volume for breakouts
- Breakout Validation: Multi-bar confirmation before entry
- Professional Stop Management: ATR or fixed trailing with freeze level protection
Optimized Performance
- Low drawdown through careful risk management
- High profit factor potential with proper optimization
- Suitable for major forex pairs, gold, and indices
- Works on multiple timeframes (M15, M30, H1, H4)
Easy Setup
- Set your preferred time range for consolidation detection
- Configure risk parameters (lot size or risk percentage)
- Enable desired filters (trend, volume, breakout confirmation)
- Set trailing stop preferences
- Activate and monitor performance
Risk Management
- Built-in money validation before every trade
- Configurable stop loss and take profit levels
- Risk-reward ratio controls
- Maximum range size limits to avoid volatile breakouts
Recommended Settings
- Timeframes: H1 for daily ranges, M30 for shorter sessions
- Range Duration: 2-4 hours for optimal consolidation identification
- Risk: 1-2% per trade for conservative approach
- Filters: Enable trend and volume filters for higher probability trades
Perfect for traders seeking:
- Consistent breakout trading strategy
- Professional risk management
- Automated trade execution
- Reduced emotional trading decisions
Note: Past performance does not guarantee future results. Please test thoroughly on demo accounts before live trading.