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JAGfx-EAs

Key features

Built so you can match the EA to your style — same strategy, your rules. The EA is designed for 4-hour and higher timeframes; other timeframes may work but need testing by you.

Multiple exit modes

Breakeven + buffer, trailing stop, or take profit — multiple options for how each sequence closes.

Why it matters— hover to reveal

You can match the exit to your style: lock in risk-free runs, let winners run with a trail, or take a fixed target. One EA, several ways to bank the move.

Dynamic trailing stop

Only trails when the trade is in profit; if price pulls back, it doesn't chase — it keeps the position open.

Why it matters— hover to reveal

You're not trailing from underwater or getting stopped out on normal pullbacks. The trail engages when you're already ahead, so it's protecting profit, not hope.

Higher timeframe + moving average filters

Trade only in the direction of the higher timeframe and only when price is on the right side of the MA (e.g. buys above, sells below).

Why it matters— hover to reveal

You avoid fighting the bigger picture and cut a lot of low-quality, counter-trend DCA adds. Fewer trades, better alignment with trend.

BB + QQE confluence (MODE_BB_AND_QQE)

A new position is only added when you get both a Bollinger Band touch and QQE overbought/oversold.

Why it matters— hover to reveal

You're not adding on every BB touch. You wait for confirmation from momentum (QQE), so entries are stricter and higher-probability.

One sequence per direction

"All DCA signals must match entry" — one active buy sequence and one active sell sequence; every add must fit the same entry idea.

Why it matters— hover to reveal

You're not stacking unrelated DCA legs. Clean, easy-to-understand logic: one story per side, with size and risk controlled under that story.

Breakeven + buffer (risk reduction)

Automatically moves the sequence to breakeven, then to breakeven plus a few pips, so the trade is effectively risk-free but can still run.

Why it matters— hover to reveal

Capital is protected quickly while you keep upside. You get the "let it run" feel without the "could give it all back" stress.

Session profit cap / stop after profit

Option to stop new opens or even close after a set profit per session (e.g. daily target).

Why it matters— hover to reveal

You can define "enough for today" and step back, which helps with discipline and avoids overtrading after a good run.

Partial close with runner

Close most of the position at a target and leave one position open with a stop.

Why it matters— hover to reveal

You bank the bulk of the profit and still have a defined-risk runner for the big move, instead of all-or-nothing.

Configurable DCA sizing

Fibonacci, linear, aggressive, or custom multipliers — choose how you scale in.

Why it matters— hover to reveal

You can match the ladder to your risk tolerance and the pair's behaviour — same strategy, different "aggression" without changing the entry logic.

Time and session filters

Restrict trading to certain hours or sessions (e.g. London, NY, or custom window).

Why it matters— hover to reveal

You avoid dead or volatile periods, focus on your preferred session, and can dodge known news times without babysitting the chart.

On-chart display panel and sequence lines

Live panel with P&L, QQE, positions, and sequence start/end lines on the chart.

Why it matters— hover to reveal

You see at a glance what the EA is doing and when each sequence started and ended — no guessing, no digging in the code.