■■ 🎯 The key to discretion is perfectly reproduced in EA. ■■
The birth of a "Day Trading EA with 10 selectable logics" that targets only the core of the market.
This EA is a "select-type day trading EA" that allows users to choose and run up to 10 independent logics.
🔍 Three core functions that support operations
・"Signal-distributed division of labor" structure using multiple logics
– Operates in fixed lots (not used by Martin)
・Individual on/off of logic and maximum number of positions can also be controlled
→ By combining multiple logics to your liking,
You can create your own automated trading system that suits the market and your lifestyle.
"Logic groups that are close to the perspective of discretionary traders"
By achieving both "mechanical entry management" and
It enables smart operation with high precision, low frequency, and short-term settlement.
🔧 Logic design based on "real-world specifications" without over-optimization
[01|Design philosophy]
This EA is designed with minimal adjustments, avoiding excessive parameter optimization.
This structure demonstrates its strengths in actual operations, rather than based on performance that is temporary and in line with past market prices.
[02 | Reproducibility and stability]
There is little discrepancy between backtest and forward results, and it responds flexibly to market changes.
It is different from "fake EA" that only performs well in backtests.
【03|For those who:
✔ People who value actual usability over backtesting numbers
✔ Those looking for a "solid logic" that can withstand long-term operation
✔ Those looking for an EA that can be used stably even with the initial settings
Please try out this EA that will help you win at its best.
📊 "Practical logic" proven by long-term variance and statistical reliability
This EA is based on approximately 15 years of historical data from 2010 to 2025.
It has recorded high levels of performance in terms of number of trades, win rate, and profit and loss efficiency.
[Four achievements that support statistical strength]
✅ Recovery Factor (RF): 13.0
→ Achieve resilience to efficiently accumulate profits while keeping losses small.
✅ Profit Factor (PF): 2.12
→ Proof that there is a good balance between winning and losing trades and that the logic is highly stable.
✅ Win Rate: 71.5%
→ A structure that supports continuous profit generation through stable entry accuracy.
✅ Total number of trades: 58,580
→ There is a sufficient verification sample size, and both statistical reliability and reproducibility are at a high level.
📊 "Realistic strength" for long-term operation
This EA does not only follow the PF optimized for past data,
It is designed to be a "real logic" that can be used stably over the long term.
In the backtest, the number of trades, stability, and profit and loss balance were all
Reliability directly linked to actual operation has been confirmed.
Compete on reproducibility, not on superficial results.
This is a book that anyone looking for such logic should definitely check out.
We recommend this to anyone looking for an EA that "delivers results in practice, not just looks."
📚 The "asset management" approach of the nanpinning strategy – A solid design supported by theory
This EA is not just a simple nanpinning.
"Dollar cost averaging," "portfolio management," "value investing," etc.
We employ a solid averaging down strategy that applies the basic theory of asset management.
By gradually increasing your purchases when the price drops, you can lower your average purchase price.
Aiming for profit opportunities during the recovery phase
This is a rational approach that is widely used in savings investments.
Furthermore, diversifying operations across multiple currency pairs avoids risk concentration in one direction.
We have implemented an investment style that mechanically captures market distortions and steadily builds up capital.
This EA is part of a portfolio strategy consisting of four currency pairs.
By further increasing the diversification effect across multiple currencies, the structure aims to create a more stable asset curve.
By managing the entire series, you can further improve the quality of your "asset management using EA."
*For information on the series structure and other EAs, please refer to the related links below.
DeepFolio_H1_AUDCAD
DeepFolio_H1_USDCAD
"A strategy backed by investment theory and suitable for long-term management"
That is the core of this EA.
▼🔧 Easy to operate. Freely adjustable.
In this EA, the user can adjust the following items as desired.
Even without detailed optimization, the default settings provide sufficiently stable operation.
– Maximum number of positions limited – Lot number: Can be set for each logic (default: 0.01)
・Magic Number: A unique identification number is automatically assigned to each strategy ・Strategy ON/OFF Switching: Multiple strategies can be enabled/disabled individually
⚙ Risk management is also designed
・No infinite nanpinning ・Maximum number of positions limited
📘 What is Null Store? ──An EA specialty brand that wins with discretion and precision design
★ Null Store's EA is a brand that aims to implement a "market view like a discretionary trader" into EA.
It is precisely designed to ensure that each entry is made at a time that makes sense.
⚠ Please be sure to check before use (※To ensure safe use)
・This EA is created based on past market data.
– It does not guarantee future profits.
Please use at your own discretion and responsibility.
*This EA does not perform infinite averaging, but instead limits the maximum number of positions and adopts a diversified design.
We have incorporated many features to ensure you can use our service with peace of mind.
First, try operating with a small amount and a small lot to experience how the logic works.