SquidGRID – MetaTrader – MT4/MT5

199,00 

Trade smarter and safer with a risk-diversified multi-asset grid EA powered by AI risk management.

SQUID GRID AI is a sophisticated grid-based system capitalizing on mean reversion opportunities across 6 uncorrelated instruments. It optimizes portfolio weight to maximize profits while actively managing risk through AI-driven market monitoring and multi-layer protection protocols.

[Live Signal] – [ Dedicated Support Group | Version MT5MT4 ]

SquidGRID – MetaTrader – MT4/MT5

199,00 

Trade smarter and safer with a risk-diversified multi-asset grid EA powered by AI risk management.

SQUID GRID AI is a sophisticated grid-based system capitalizing on mean reversion opportunities across 6 uncorrelated instruments. It optimizes portfolio weight to maximize profits while actively managing risk through AI-driven market monitoring and multi-layer protection protocols.

[Live Signal] – [ Dedicated Support Group | Version MT5MT4 ]

Get to know our product

Trade smarter and safer with a risk-diversified multi-asset grid EA powered by AI risk management.

SQUID GRID AI is a sophisticated grid-based system capitalizing on mean reversion opportunities across 6 uncorrelated instruments. It optimizes portfolio weight to maximize profits while actively managing risk through AI-driven market monitoring and multi-layer protection protocols.

[Live Signal] – [ Dedicated Support Group | Version MT5MT4 ]

After the purchase, please send me a private message to receive the user manual and the AI setup instructions.

 

Performance Overview (Backtest: 2020-2025)

Risk Profile Initial Capital Final Balance Total Return Maximum Drawdown
Medium Risk $1,000 $6,000 +500% -24.6% (monthly)
Low Risk $1,000 $3,500 +250% -12.3% (monthly)

Past performance does not guarantee future results. These figures represent backtested data from 2020-2025. Trading involves substantial risk of loss.

 

Why choose this EA?

Multi-asset diversification

  • Trades 6 uncorrelated instruments: XAUUSD, EURUSD, EURJPY, GBPNZD, AUDCAD, USDCAD
  • Optimized weight allocation to maximize profitability while spreading risk
  • Advanced structural risk-management at core

Sophisticated grid strategy with built-in safeguards

  • Capitalizes on statistically high-probability mean reversion opportunities
  • Identifies overbought and oversold conditions for optimal entry
  • Adds positions during price retracements to improve average entry prices
  • Important: No martingale strategy employed. Features maximum grid layer limits and overall position stop-loss protection.

AI-Powered Market Adaptation & Risk Management

  • Integrated AI monitors real-time market sentiment, news events, and volatility
  • Analyzes daily macroeconomic conditions to adjust strategy parameters
  • Automatically closes positions or pauses trading during abnormal market events
  • Provides clear risk suggestions (Conservative/Neutral/Aggressive) based on live analysis

Advanced grid money management

  • Customizable profit withdrawal thresholds based on your risk tolerance
  • Configurable Max Tolerable Drawdown and lot size settings
  • Regular profit withdrawal recommendations (typically after 10-30% account growth)
  • Clear “withdrawal advised” signals from the AI to secure gains

Transparent & Verifiable Performance

  • Live signal available for real-time performance verification
  • Backtest results align with live trading through rigorous risk protocols
  • Multi-layer protection specifically designed for grid strategy limitations, including correlation monitoring and trend detection

Comprehensive support

  • Full setup guidance provided for all trader experience levels
  • Active dedicated support group with direct developer access
  • Regular updates and optimization based on market regime changes

 

Prop Firm Support

Before purchasing, verify your Prop Firm rules and challenge limitations, which could include:

  • Grid trading strategies
  • Simultaneous trades across multiple assets
  • Trading during high volatility periods
  • Hedging positions
  • Maximum drawdown restrictions

We provide guidance and set files to help comply with common challenge rules.

 

Backtest & Setup Guide

  • EA launching asset and Time frame: EURUSD | M5
  • Traded assets: XAUUSD, EURUSD, EURJPY, GBPNZD, AUDCAD, USDCAD
  • Timeframes: M5-H1 (adjusted per asset’s volatility profile)
  • Backtest Data Quality: Comprehensive testing using quality broker data for accurate CAD pair history (2020-2025)
  • Tested period: 2020 – 2025, OHLC model
  • Minimum / Recommended deposit: $500 / $2000 (for optimal operation across all 6 assets)

 

Essential Risk Warning

  • We advocate for informed purchasing: How not to be fooled when you buy an algo
  • CFD and forex trading involve significant risk of loss. Only risk capital you can afford to lose.
  • Careful configuration, risk management, and regular profit withdrawal are essential for long-term success.
  • Grid strategies can experience substantial drawdowns during prolonged, strong trends. Our AI monitoring and risk controls are designed to mitigate this, but risk cannot be eliminated.
  • Past performance is not a guarantee of future profitability.
  • No trading system can win 100% of the time. Losses are part of trading.
  • Always test the EA thoroughly in a demo account before live trading.

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