CoreLogic_Vector
ストア
販売開始日 2025-05-02
自動売買 EA 取引手法 Tags , ,
102
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CoreLogic_Vector

カテゴリー Tags , ,
102

🎯 "Reconstructing the key points of discretion with logic and precision" A select-type scalping EA that targets only the "winning moments" with 8 logics

Currency Pair
USDCAD
Trade Type
Grid
Timeframe
M15
Max Positions
80 Positions
Max Stop Loss
10000
Martingale
No
Hedge
Yes
Notes

Price range: ¥0 through ¥40,000

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✅ Added to cart!

Forward Test

LIVE DATA
2.9
C
Profitability85 / 100
Stability83 / 100
Reliability65 / 100
Total Profit
114,432
Max Drawdown
31,824
PF
2.71
Win Rate
73.23%
Total Trades : 665
Max Positions : 80
Monthly Avg Trades : 58.9
Expected Value : 172.08
Recovery Factor : 3.60
Current Open Positions
Entry Time Type Open Price Symbol Lot Size Floating P/L
2026-04-03 15:30:13 SELL 1.394 USDCAD 0.01 -147.00
2026-04-02 20:30:06 SELL 1.391 USDCAD 0.01 -393.00
2026-03-31 18:30:02 SELL 1.396 USDCAD 0.01 126.00
2026-03-31 18:00:13 SELL 1.395 USDCAD 0.01 74.00
2026-03-30 16:45:03 SELL 1.393 USDCAD 0.01 -203.00
2026-03-30 16:45:03 SELL 1.393 USDCAD 0.01 -203.00
2026-03-30 16:30:01 SELL 1.393 USDCAD 0.01 -238.00
2026-03-30 10:45:01 SELL 1.391 USDCAD 0.01 -448.00
2026-03-30 09:15:00 SELL 1.39 USDCAD 0.01 -585.00
2026-03-27 20:30:01 SELL 1.389 USDCAD 0.01 -686.00
2026-03-27 19:00:01 SELL 1.388 USDCAD 0.01 -761.00
2026-03-27 15:15:03 SELL 1.387 USDCAD 0.01 -932.00
2026-03-26 23:00:00 SELL 1.386 USDCAD 0.01 -1,035.00
2026-03-26 14:30:01 SELL 1.384 USDCAD 0.01 -1,185.00
2026-03-26 14:15:08 SELL 1.384 USDCAD 0.01 -1,265.00
2026-03-26 11:30:01 SELL 1.384 USDCAD 0.01 -1,287.00
2026-03-25 22:15:00 SELL 1.382 USDCAD 0.01 -1,504.00
2026-03-25 18:45:00 SELL 1.381 USDCAD 0.01 -1,626.00
2026-03-25 18:15:01 SELL 1.38 USDCAD 0.01 -1,683.00
2026-03-25 12:45:00 SELL 1.379 USDCAD 0.01 -1,765.00
2026-03-24 19:45:01 SELL 1.377 USDCAD 0.01 -2,018.00
2026-03-24 19:45:00 SELL 1.377 USDCAD 0.01 -2,016.00
2026-03-24 07:30:01 SELL 1.376 USDCAD 0.01 -2,160.00
2026-03-24 03:15:00 SELL 1.374 USDCAD 0.01 -2,393.00
2026-03-23 18:15:00 SELL 1.371 USDCAD 0.01 -2,771.00
2026-03-23 17:30:00 SELL 1.367 USDCAD 0.01 -3,144.00
2026-03-23 16:30:00 SELL 1.372 USDCAD 0.01 -2,618.00
2026-03-23 13:00:00 SELL 1.375 USDCAD 0.01 -2,265.00
2026-03-13 18:30:01 SELL 1.373 USDCAD 0.01 -2,508.00
2026-03-13 16:00:01 SELL 1.37 USDCAD 0.01 -2,814.00
2026-03-13 13:30:02 SELL 1.367 USDCAD 0.01 -3,124.00
2026-03-13 10:00:00 SELL 1.365 USDCAD 0.01 -3,377.00
2026-03-12 18:15:00 SELL 1.363 USDCAD 0.01 -3,613.00
2026-03-11 18:15:00 SELL 1.36 USDCAD 0.01 -4,012.00
取引履歴
Close Time Type Open Price Close Price Symbol Hold Time Lot Size Profit/Loss

Buy vs Sell Trade Ratio

Buy vs Sell Profit/Loss

Entries by Time of Day

パフォーマンススコアカード

P/L Calendar

USD/CAD リアルタイムチャート(15分足)

USD/CAD チャート読み込み中...

USD/CAD CoreLogic_Vector - リアルタイムチャート

🎯 "Reconstructing the 'key points' of discretion with logic and precision"

A selective scalping EA that uses 8 logics to target only the "moments when you can win."

🔧 EA Overview|CoreLogic_Vector_USDCAD_M15

This EA is a "select-type scalping EA" that allows users to select and operate up to eight independent logics. Target currency: USDCAD Time frame: M15 (15-minute chart) Expected style: Short-term scalp + nanpin-type recovery

✨Feature Pickup:

– "Signal-distributed division of labor" structure using multiple logics – Operates with simple interest and fixed lots (no marting) – Individual on/off and maximum position control possible for logics – "Currency-distributed complementary" structure with seven Precision/Core series further enhances stability. By combining "logic groups that are close to the perspective of discretionary traders" with "mechanical entry management," it enables smart operation with high precision, low frequency, and short-term settlement. Furthermore, this EA is part of a series consisting of seven Precision (M30) and CoreLogic (M15) series, and is designed to reduce time-axis and logic conflicts between entries in each currency (AUDCAD/AUDNZD/NZDCAD/USDCAD).

📊 By using all 7 strategies together, **the timing to win will be mutually complementary, and daily profit opportunities will steadily accumulate**.

▶ You can check out each EA here:

https://sys-tre.com/shop/precision_grid_audcad_m30/ https://sys-tre.com/shop/precision_grid_audnzd_m30/ https://sys-tre.com/shop/precision_grid_nzdcad_m30/ https://sys-tre.com/shop/corelogic_catalyst_audcad_m15/ https://sys-tre.com/shop/corelogic_orbit_audnzd_m15/ https://sys-tre.com/shop/corelogic_quanta_nzdcad_m15/ https://sys-tre.com/shop/corelogic_vector_usdcad_m15/

📈 Forward performance (Myfxbook)

▶︎ Actual real-time results are now available! Myfxbook link

▶▶[Please see below for an image of distributed operation across the entire series]

📊 EA that embodies "statistical superiority" with logic and variance control

🧪 Understanding the backtest results──CoreLogic_Vector_USDCAD_M15's "reliable performance"

Based on USDCAD (M15) data spanning approximately 15 years from 2010 to 2025, this EA has an impressive balance performance for a high-frequency nanpinning EA, with a profit factor of 2.63, a win rate of 72.9%, and a maximum drawdown of 3.5%. The following three points are particularly noteworthy:

✅ 1. Recovery Factor (RF) = 31.5

→ Calculated from net profit of 41,508 / maximum DD of 1,317. The recovery speed is extremely high, and the stable behavior allows it to recover immediately even in a loss situation.

✅ 2. Profit Factor (PF) = 2.63

→ High expected value per trade, and excellent as a cumulative logic. Stable and high turnover "ideal nanpinning design" is built.

✅ 3. Statistical reliability of 73% win rate x 27,269 trades

→ Time-series data showing the same behavior over 1,800 times per year for 15 consecutive years guarantees the reproducibility of the logic. This proves the extremely high "reliability and durability of the strategy."

💡 And more──

・Modeling accuracy is 99.90%, with zero inconsistency errors. ・Good risk control even with a maximum limit of 80 positions.

📈 Overall Review:

A practical EA that can be used daily, with three axes: high win rate, low DD, and high frequency. Recommended for those who want to experience the "transcendence of variance" of the nanpinning strategy.

📚 The "asset management" approach of the nanpinning strategy – The theoretical basis of this EA

This EA employs a "solid nanpinning strategy" that applies three long-standing, standard theories in asset management : dollar cost averaging, value investing, and portfolio management . While many may be wary of the risks inherent in these nanpinning strategies, this EA's approach is not simply nanpinning; it combines multiple investment theories, including the following: First, similar to dollar cost averaging, a well-known method of investment savings, increasing positions when prices fall effectively lowers the average price. This is an extremely rational strategy that automatically buys at low prices and seeks profit opportunities when the market recovers within a certain range. Furthermore, this EA is designed for use with multiple currency pairs. Similar to the fundamental asset management concept of "portfolio diversification," this EA diversifies risk by taking advantage of differences in the price movements of each currency. This avoids unidirectional risk and achieves more stable operations. Furthermore, similar to the concept of "value investing," which aims for future profits by investing when prices are low, this EA offers a solid and practical approach that "turns market distortions into opportunities." Rather than simply averaging down, this EA aims to achieve highly rational management in the medium to long term by combining these multiple investment theories.

🧠 Logic for extracting winning patterns, refined through variance and statistics

This EA is composed of highly accurate contrarian logics that aim for "temporary breakthroughs followed by rebounds," and focuses on calmly capturing price overshoots. Among them, the following strategies play a central role.

💡 RSI Cross Consecutive Judgment Type: Captures "confidence" before it starts moving

→ This is a counter-trend logic for cautious traders, as it reacts only when the RSI crosses the specified line twice in a row. It ignores the first crossing and only enters when the second crossing is a sign of a real rebound.

💡 MA Band Reversal Type: Take advantage of the "fake" after the break

→ Reacts to the movement of "breaking through the high-low moving average band only once and then returning." This is a counter-type logic that aims for a fake-out and takes the opposite direction of the breakout.

💡 ATR band folding type: Targets the cooling point from the overheated state

→ Using the upper and lower bands formed by calculating the ATR x moving average, it goes against the trend at the line that indicates "if it has reached this point it has gone too far." This structure aims to "calmly harvest" sudden rises and falls.

🔧 Easy to operate and flexible adjustments

This EA allows users to adjust the following items as desired. Even without detailed optimization, the default settings provide sufficiently stable operation. ・Lot size: Can be set for each logic (default: 0.01) ・Maximum number of positions: Managed by the maximum number of positions for all logics combined ・Magic number: Automatically assigns a unique identification number to each strategy ・Strategy ON/OFF switching: Eight strategies can be enabled/disabled individually

⚙ Risk management is also designed in.

・No infinite nanpinning ・Maximum number of positions limited

📘 What about Null Store EA? ──Precisely designed "Discretionary Thinking EA Group"

This brand aims to implement "a market view like a discretionary trader" into EAs. Each entry is precisely designed to be made at a "reasonable timing." The CoreLogic series uses a high-precision logic for the initial entry, aiming for a single scalp, followed by a structure that performs gradual averaging depending on the market conditions.

⚙ Series composition:

M30: Precision_Grid series AUDCAD/AUDNZD/NZDCAD M15: CoreLogic series AUDCAD/AUDNZD/NZDCAD/USDCAD The averaging down strategy involves a certain amount of risk, but Null Store's EA is designed to avoid excessive risk concentration by using a "filter design to reduce wasted shots" and "distributed logic to prevent simultaneous activation."

👉 Check out other EAs:

https://sys-tre.com/shop/precision_grid_audcad_m30/ https://sys-tre.com/shop/precision_grid_audnzd_m30/ https://sys-tre.com/shop/precision_grid_nzdcad_m30/ https://sys-tre.com/shop/corelogic_catalyst_audcad_m15/ https://sys-tre.com/shop/corelogic_orbit_audnzd_m15/ https://sys-tre.com/shop/corelogic_quanta_nzdcad_m15/ https://sys-tre.com/shop/corelogic_vector_usdcad_m15/

⚠ Please be sure to check before use

・This EA is based on past market data. ・It does not guarantee future profits. ・Please use this EA at your own discretion.

Parameters
Parameters
Trading Info

Recommended Fund: $2,000 USD

Expected Monthly Return: 17%

This data is based on a 0.01 lot size. Actual performance may vary depending on your lot size.
Entry Condition
"When the price has gone too far and a rebound is expected" It detects the moment when the market has been extremely overbought or oversold, and when the seeds of a reversal appear, it begins to open positions. "The moment when the market heat subsides and calm is restored" It prefers the timing when volatility converges below a certain level. "The point where short-term trends and medium-term equilibrium mesh" It initiates in the "middle of the range" where ultra-short-term momentum and a longer average balance coincide.
Close Condition
"When you make a profit, close your position all at once before the trend changes." Once you have secured a large amount of unrealized profit, quickly lock in your profits without being greedy. "When the price returns to the target "center line," settle immediately." Release your position when the market touches the original equilibrium point.
Favorable Market
Range to gradual trend reversal phase London to early New York low to mid volatility range Box market with ups and downs of around 60 to 120 pips
Unfavorable Market
A sudden unidirectional trend immediately after the US employment statistics, FOMC, CPI, etc. A state in which the spread between USDCAD and NZDCAD is widening due to war, important person's remarks, a sudden drop in crude oil prices, etc. A black swan-like volatility in which the ATR jumps to more than twice the normal level
Avoid Trading Timing
30 minutes before or after the announcement of an important indicator On days with extremely low liquidity, such as Christmas and New Year's When the broker's spreads are more than twice as wide as usual When the account drawdown reaches 10% of the most recent high (emergency closure recommended)
Recommended Operation
Diversified operation: By running four trades simultaneously with the same lot size, the correlation between currencies and logic is diversified, making the curve of the entire account smoother. Monthly cash out: Withdraw 30% of the profit at the end of the month to protect the original capital and reduce risk. MaxSpread adjustment: Adjust MaxSpread according to the broker's conditions. Operation suspension timing: 30 minutes before and after important indicators (US employment statistics, FOMC, CPI), New Year's holidays, and when spreads suddenly widen.

EA Backtest Analysis

Win Rate 73.00%
Currency Pair
USDCAD
Trade Type
Grid
Timeframe
M15
Max Positions
80 Positions
Max Stop Loss
10000
Martingale
No
Hedge
Yes
Notes
Quant Analyzer 1
バックテスト
Quant Analyzer 2
年別取引データ
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