0
SHOPPING CART
Instant Digital Delivery
Get your EA software delivered instantly to your email after purchase.
Instant Activation
Your EA will be activated immediately after purchase. No waiting time!
All-Inclusive Pricing
No hidden fees—what you see is what you pay.

NEXA Outcome Dominance EA MT5 (Latest version) – GroupBuy

Price range: $89.00 through $599.00
In stock

Select a variant to see availability.

Quick Verdict

NEXA Outcome Dominance EA is an innovative Gold trading Expert Advisor for MetaTrader 5 that replaces traditional technical indicators with intelligent tick-flow analysis and hypothetical outcome evaluation. Using its unique BUY, SELL, and WAIT decision engine, the EA executes trades only when statistical confidence and expected advantage meet strict criteria, making it suitable for disciplined and risk-conscious traders.

Best For

✅ Gold (XAUUSD) traders

✅ AI-driven algorithmic trading enthusiasts

✅ Short-term M5 trading

✅ Traders seeking non-indicator strategies

✅ Investors who prefer disciplined risk management

Overall Rating

9.5/10 ⭐⭐⭐⭐⭐


What is NEXA Outcome Dominance EA?

NEXA Outcome Dominance EA is a next-generation Expert Advisor (EA) developed exclusively for MetaTrader 5 and optimized for Gold (XAUUSD) trading on the M5 timeframe. Instead of relying on traditional indicators such as RSI, MACD, or Moving Averages, it analyzes live tick-flow behavior to construct internal market states and evaluate three possible outcomes: BUY, SELL or WAIT.

The EA continuously learns from hypothetical market outcomes and only enters trades when statistical confidence, expected profitability, and market conditions align. This intelligent decision-making process helps eliminate low-quality trades while maintaining disciplined execution and professional-level risk control.

🔶 Vendor Website: View here

🔶 Join Our Channel Telegram

🔶 This is GroupBuy ==> How to Join


How Does NEXA Outcome Dominance EA Work?

Internal Tick-Flow Analysis

The EA continuously analyzes incoming tick data to build dynamic market states instead of using conventional indicators.

BUY, SELL & WAIT Decision Engine

Every trading opportunity is evaluated by comparing the expected outcomes of buying, selling, or waiting before any position is opened.

Hypothetical Outcome Learning

The system continuously improves its internal statistical model using simulated trade outcomes collected during operation.

Multi-Layer Entry Validation

Trades are executed only after passing confidence checks, spread filters, cost analysis, margin verification and risk protection rules.

Intelligent Position Exit

Positions may close via Stop Loss, Take Profit, logical advantage reduction, opposite-direction dominance, WAIT dominance or maximum holding time.

Warm-Up Learning Process

After installation or restart, the EA collects sufficient market data before beginning live trading to improve decision quality.


Key Features of NEXA Outcome Dominance EA

AI-Inspired Tick Flow Analysis

Uses proprietary tick-flow market analysis instead of traditional technical indicators to identify trading opportunities.

Intelligent BUY, SELL & WAIT Logic

Evaluates three possible market actions and executes trades only when one direction shows a statistically superior advantage.

Self-Learning Internal Market States

Continuously builds and refines internal market models through hypothetical outcome learning and confidence evaluation.

Comprehensive Risk Protection

Includes daily loss limits, drawdown protection, margin checks, consecutive-loss pauses and duplicate-position prevention.

Flexible Money Management

Supports both Risk Percent and Fixed Lot modes, allowing traders to choose between dynamic or fixed position sizing.

Smart Trade Management

Features logical exits, opposite-direction exits, WAIT dominance exits, maximum holding time and entry cooldown for disciplined execution.


Historical Trading Results Performance

Backtest 1 – Risk Percent Mode

NEXA Outcome Dominance EA MT5 Backtest

NEXA Outcome Dominance EA MT5 Backtest

Metric Result
Initial Deposit $1,000
Total Net Profit $77,231,329.57
Profit Factor 10.10
Recovery Factor 867.77
Winning Trades 85.76%
Total Trades 8,868
Balance Drawdown 2.01%
Equity Drawdown 2.37%

Performance Analysis

The Risk Percent backtest demonstrates exceptional compounding potential, generating substantial account growth while maintaining an extremely low drawdown. With a Profit Factor above 10, an 85.76% win rate, and just 2.37% maximum equity drawdown, the strategy showcases strong consistency and efficient capital management under historical testing conditions.

Backtest 2 – Fixed Lot Mode

NEXA Outcome Dominance MT5 Backtest

NEXA Outcome Dominance MT5 Backtest

Metric Result
Initial Deposit $1,000
Total Net Profit $17,404.60
Profit Factor 10.62
Recovery Factor 977.79
Winning Trades 85.76%
Total Trades 8,868
Balance Drawdown 0.35%
Equity Drawdown 0.53%

Performance Analysis

Using a fixed lot size removes compounding effects and highlights the underlying strategy quality. The EA maintained the same 85.76% winning percentage while achieving an impressive Profit Factor of 10.62 and an exceptionally low 0.53% maximum equity drawdown, indicating stable and disciplined trading behavior.


Why NEXA Outcome Dominance EA Stands Out

Indicator-Free Trading Logic

Makes trading decisions using real-time tick-flow analysis instead of lagging technical indicators.

AI-Style Decision Framework

Compares BUY, SELL, and WAIT scenarios before every potential trade.

Adaptive Learning Process

Continuously builds internal statistical models to improve market understanding over time.

Strict Entry Discipline

Rejects trades whenever confidence, expected advantage, or trading costs fail to meet predefined requirements.

Professional Capital Protection

Combines intelligent trade filtering with multiple layers of account protection for consistent risk management.


Risk Management Features

Flexible Position Sizing

Choose between Risk Percent mode for automatic position sizing or Fixed Lot mode for consistent trade volumes.

Multi-Level Account Protection

Protects capital using daily loss limits, equity drawdown controls, margin checks and maximum account risk verification.

Consecutive Loss Protection

Automatically pauses new entries after a series of losing trades to reduce exposure during unfavorable market conditions.

Smart Trade Validation

Filters every trade through spread limits, trading costs, confidence levels, cooldown periods and execution quality checks.

Intelligent Exit Management

Uses Stop Loss, Take Profit, logical advantage exits, opposite-direction dominance, WAIT dominance, and maximum holding time to manage risk effectively.


Recommended Trading Conditions

Recommended settings and parameters to pay attention to from developers and experts:

FeaturesType
Trading platformMetaTrader 5 (MT5)
Time framesM5 (5 minute chart)
Currency pairsXAUUSD (Gold)
Minimum / Recommended deposit$100+
Minimum / Recommended leverage1:30+
Account typeECN / Low Spread
Additional servicesUnlock and Decompile
Recommended brokersExness Broker, Icmarkets Broker
Recommended VPSMyfxVPS.com (Blue VPS, Golden VPS). Lowest Latency, 2 week Free Trial, 100% Free for 12-18 Months.

Product Download Package?

The download package of the product suite includes:

✅ Setting (If Any).docx
✅ Installation Guide.docx

➡️ Reviewed by David Easton


Weaknesses and Risk Warnings

🔹 Requires an initial warm-up period before normal trading begins.

🔹 Trading frequency depends heavily on market conditions and internal confidence levels.

🔹 Performance may vary significantly between brokers due to spreads, commissions and tick quality.

🔹 Restarting MetaTrader or changing core settings may require rebuilding internal market states.

🔹 Historical backtests and hypothetical learning models cannot guarantee future trading performance.

🔹 Continuous VPS operation is recommended for optimal learning consistency.


Who Should Use NEXA Outcome Dominance EA?

NEXA Outcome Dominance EA is ideal for:

🔹 Gold (XAUUSD) traders seeking advanced automation.

🔹 Traders interested in AI-inspired trading systems.

🔹 Investors who prefer disciplined, low-frequency execution.

🔹 Users looking for non-Martingale and non-Grid strategies.

🔹 Professional traders who value comprehensive risk protection.

🔹 Traders willing to allow the EA sufficient learning time before evaluating performance.


Final Verdict

NEXA Outcome Dominance EA introduces a unique approach to automated Gold trading by replacing conventional indicators with intelligent tick-flow analysis and statistical outcome evaluation. Its ability to compare BUY, SELL, and WAIT scenarios before every trade results in highly selective entries, disciplined execution and strong capital protection.

Combined with extensive risk controls, flexible money management, logical exit strategies, and impressive historical backtest statistics, NEXA Outcome Dominance is an excellent choice for traders seeking a modern, AI-inspired Expert Advisor for XAUUSD trading on MetaTrader 5.

NEXA Outcome Dominance EA MT5 Settings Guide

NEXA Outcome Dominance EA is an advanced Expert Advisor designed for short-term algorithmic trading using a proprietary outcome-dominance engine instead of traditional technical indicators.

Rather than relying on RSI, MACD, or Moving Averages as entry signals, it continuously evaluates BUY, SELL, and WAIT scenarios through virtual outcome learning, raw tick-state analysis, confidence scoring, and adaptive calibration.

The EA combines intelligent risk management, dynamic position evaluation, logical exit mechanisms, and strict safety controls to achieve consistent execution across changing market conditions.

NEXA Outcome Dominance EA MT5 Settings Panel

NEXA Outcome Dominance EA MT5 Settings Panel

NEXA Outcome Dominance MT5 Settings Panel

NEXA Outcome Dominance MT5 Settings Panel


NEXA Outcome Dominance EA MT5 Settings Explained

1. Identification

🔹 InpMagicNumber = 2026070501 – Unique Magic Number used to identify and manage all EA positions.

🔹 InpTradeComment = NEXA_Outcome_Dominance – Custom trade comment attached to every executed order.

🔹 InpSymbol = (Current Symbol) – Uses the chart symbol unless another instrument is specified.


2. Trading Direction and Lot Management

🔹 InpAllowBuy = true – Enables BUY positions.

🔹 InpAllowSell = true – Enables SELL positions.

🔹 InpLotMode = NEXA_LOT_RISK_PERCENT – Position sizing is calculated using percentage-based risk management.

🔹 InpRiskPercent = 1.0 – Risks 1.0% of account balance per trade.

🔹 InpFixedLot = 0.01 – Fixed lot size used when fixed-lot mode is selected.

🔹 0 = disabled = 0.0 – Disables the optional fixed-lot override.


3. Execution Costs and Protection

🔹 InpMaxSpreadPoints = 90 – Maximum allowable spread is 90 points before entries are blocked.

🔹 InpSlippagePoints = 20 – Maximum permitted execution slippage is 20 points.

🔹 InpCommissionPointsRoundTrip = 0.0 – Round-trip commission cost is disabled.

🔹 InpStopLossPoints = 300 – Default Stop Loss is 300 points.

🔹 InpTakeProfitPoints = 1900 – Default Take Profit is 1900 points.

🔹 InpMinStopLossPoints = 50 – Minimum Stop Loss allowed is 50 points.

🔹 InpMaxStopLossPoints = 5000 – Maximum Stop Loss allowed is 5000 points.

🔹 InpMinimumRR = 1.0 – Minimum Risk-to-Reward ratio is 1:1.

🔹 InpMinMarginLevelPercent = 150.0 – Requires at least 150% margin level before opening new trades.

🔹 InpMaxOpenRiskPercent = 3.5 – Limits total simultaneous portfolio risk to 3.5%.


4. Raw Tick State Engine

🔹 InpStateLookbackTicks = 64 – Uses the last 64 ticks for market-state analysis.

🔹 InpMinimumTickHistory = 120 – Requires at least 120 historical ticks before evaluation.

🔹 InpEvaluationIntervalSeconds = 5 – Refreshes market evaluation every 5 seconds.

🔹 InpMinimumEvaluationMovePoints = 9 – Requires at least 9 points of movement before re-evaluation.

🔹 InpVirtualSampleIntervalSeconds = 60 – Generates virtual learning samples every 60 seconds.

🔹 InpMaxActiveVirtualSamples = 3584 – Maximum simultaneous virtual samples is 3584.

🔹 InpImbalanceThreshold = 0.35 – Minimum imbalance threshold for market-state recognition.

🔹 InpEfficiencyLow = 0.14 – Lower efficiency threshold.

🔹 InpEfficiencyHigh = 0.72 – Upper efficiency threshold.

🔹 InpRetracementLow = 0.10 – Lower retracement ratio.

🔹 InpRetracementHigh = 0.80 – Upper retracement ratio.

🔹 InpSpeedChangeThreshold = 0.40 – Detects significant price acceleration.

🔹 InpSpreadStateThreshold = 0.40 – Spread-state sensitivity threshold.

🔹 InpCenterOffsetThreshold = 0.55 – Center-offset detection threshold.

🔹 InpDifficultyEasy = 0.75 – Easy-state classification threshold.

🔹 InpDifficultyHard = 1.50 – Hard-state classification threshold.


5. Virtual Outcome Learning

🔹 InpVirtualHorizonSeconds = 2100 – Virtual outcome horizon is 2100 seconds.

🔹 InpVirtualMinInvalidationSeconds = 30 – Minimum invalidation time is 30 seconds.

🔹 InpVirtualInvalidationDistance = 4 – Invalidation occurs after 4 points.

🔹 InpMaxOutcomeOvershootSeconds = 300 – Maximum overshoot duration is 300 seconds.

🔹 InpLongDecay = 0.995 – Long-position learning decay factor.

🔹 InpShortDecay = 0.825 – Short-position learning decay factor.

🔹 InpVirtualMAEPenaltyWeight = 0.0 – MAE penalty weight is disabled.

🔹 InpVirtualMFERewardWeight = 0.18 – Maximum Favorable Excursion reward weight.

🔹 InpWaitAvoidedLossWeight = 0.50 – Reward weight for avoiding losing trades.

🔹 InpWaitMissedProfitWeight = 0.75 – Penalty weight for missed profitable trades.

🔹 InpMinimumMatureSamples = 10 – Requires at least 10 mature learning samples.

🔹 InpMinimumActionAdvantagePoints = 18.0 – Minimum advantage score required for trade execution.

🔹 InpMinimumConfidence = 0.46 – Minimum confidence threshold is 46%.

🔹 InpConfidenceZ = 1.58 – Statistical confidence Z-score.

🔹 InpCollapseDeltaPoints = 15.0 – Collapse threshold equals 15 points.

🔹 InpCollapseMinimumRecentSamples = 16 – Minimum recent samples for collapse detection.

🔹 InpMinExpectedEdgeCostMultiple = 0.6 – Minimum expected edge multiplier.

🔹 InpMinProfitSpaceCostMultiple = 2.5 – Minimum profit-space multiplier before entry.


6. Calibration Research

🔹 Shadow candidates and calibration reports = false – Disables shadow calibration reports.

🔹 Advanced research = false – Disables advanced calibration mode.

🔹 InpCalibrationMinimumSamples = 60 – Calibration requires 60 samples.

🔹 InpCalibrationBiasAlpha = 0.02 – Bias correction alpha value.

🔹 InpMinimumCalibratedNetPoints = 12.0 – Minimum calibrated edge equals 12 points.

🔹 InpMaximumCalibrationPenaltyPoints = 500.0 – Maximum calibration penalty is 500 points.


7. Position Exit Logic

🔹 InpMaxHoldingSeconds = 900 – Maximum holding time is 900 seconds.

🔹 InpMinimumLogicalHoldSeconds = 30 – Minimum logical holding time is 30 seconds.

🔹 InpLogicalExitConfirmations = 1 – Requires 1 confirmation before logical exit.

🔹 InpOppositeExitAdvantagePoints = 15.0 – Opposite signal must exceed 15 points of advantage.

🔹 InpUseLogicalAdvantageExit = true – Enables logical advantage exits.

🔹 InpUseOppositeDominanceExit = true – Closes positions when opposite dominance becomes stronger.

🔹 InpUseWaitDominanceExit = true – Allows WAIT dominance to trigger exits.


8. Entry Safety and Cooldowns

🔹 InpEntryCooldownSeconds = 0 – No cooldown between entries.

🔹 InpLossDirectionCooldownSeconds = 900 – Waits 900 seconds after a losing directional trade.

🔹 InpMaxDailyTrades = 40 – Maximum 40 trades per day.

🔹 InpMaxDailyLossPercent = 10.0 – Stops trading after 10% daily loss.

🔹 InpMaxConsecutiveLosses = 10 – Maximum 10 consecutive losses allowed.

🔹 InpConsecutiveLossPauseMinutes = 480 – Pauses trading for 480 minutes after consecutive losses.

🔹 InpMaxEquityDrawdownPercent = 17.5 – Maximum equity drawdown allowed is 17.5%.

🔹 InpUseNewEvaluationOnly = true – Executes trades only using fresh evaluations.


9. Trading Schedule

🔹 InpUseTimeFilter = false – Time filter is disabled.

🔹 InpTradeStartHour = 0 – Trading starts at 00:00.

🔹 InpTradeEndHour = 24 – Trading runs until 24:00.

🔹 InpAllowMonday = true – Enables Monday trading.

🔹 InpAllowTuesday = true – Enables Tuesday trading.

🔹 InpAllowWednesday = true – Enables Wednesday trading.

🔹 InpAllowThursday = true – Enables Thursday trading.

🔹 InpAllowFriday = true – Enables Friday trading.


10. Diagnostics

🔹 InpShowChartPanel = false – Disables the information panel.

🔹 InpDebug = false – Debug mode is disabled.

🔹 InpDuplicateLogSuppressSeconds = 30 – Suppresses duplicate log messages for 30 seconds.


11. OnTester Score

🔹 InpTesterMinimumTrades = 150 – Strategy tester requires at least 150 trades.

🔹 InpTesterMaxEquityDDPercent = 25.0 – Maximum equity drawdown allowed in testing is 25%.

🔹 InpTesterMinimumProfitFactor = 1.0 – Minimum acceptable Profit Factor is 1.0.


Risk Level

🔹 Fixed Lot – Uses a constant lot size of 0.01 regardless of account growth.

🔹 Safe – Uses 1.0% risk per trade, logical exits, and strict drawdown protection.

🔹 Balanced – Suitable for moderate growth while maintaining adaptive outcome-learning protection.

🔹 Aggressive – Can increase trading frequency by adjusting confidence thresholds and evaluation parameters, but with higher portfolio risk.


Conclusion

NEXA Outcome Dominance EA MT5 introduces a modern AI-inspired trading methodology by replacing conventional indicator-based entries with a virtual outcome-learning engine driven by raw tick analysis. Its extensive configuration includes adaptive confidence scoring, calibration research, logical exit systems, sophisticated risk management, and intelligent safety filters. With flexible position sizing, advanced execution controls, and robust drawdown protection, the EA is well suited for traders seeking a data-driven automated trading system that continuously adapts to evolving market behavior.


FAQs

What is NEXA Outcome Dominance EA MT5?

It is an automated MT5 Expert Advisor that evaluates BUY, SELL, and WAIT outcomes using virtual learning and raw tick-state analysis instead of traditional indicators.

Does the EA use RSI, MACD, or Moving Averages for entries?

No. The EA relies on proprietary outcome-learning algorithms rather than conventional technical indicators for trade execution.

Can I trade with percentage-based risk management?

Yes. The default configuration uses NEXA_LOT_RISK_PERCENT with 1.0% risk per trade, while fixed-lot trading is also available.

How does the Virtual Outcome Learning system work?

It continuously creates virtual trade samples, measures expected outcomes, updates confidence scores, and only executes trades when a sufficient statistical advantage exists.

Is NEXA Outcome Dominance EA MT5 suitable for risk-controlled trading?

Yes. It includes maximum spread filters, margin protection, daily trade limits, drawdown protection, logical exits, cooldown periods, and confidence-based trade validation for disciplined automated trading.

User Reviews

0.0 out of 5
0
0
0
0
0
Write a review

There are no reviews yet.

Only logged in customers who have purchased this product may leave a review.

❓ What market is NEXA Outcome Dominance EA MT5 designed to trade?

NEXA Outcome Dominance EA MT5 is designed for short-term GOLD trading on the M5 timeframe, using tick-flow analysis instead of traditional indicators.

❓ Does NEXA Outcome Dominance EA MT5 use indicators like RSI or MACD?

No. NEXA Outcome Dominance EA MT5 does not rely on RSI, MACD, Moving Averages, or similar indicators, focusing instead on internal market-state analysis.

❓ How does NEXA Outcome Dominance EA MT5 decide whether to trade?

NEXA Outcome Dominance EA MT5 compares BUY, SELL, and WAIT outcomes, opening trades only when one direction shows a clear statistical advantage.

❓ Does NEXA Outcome Dominance EA MT5 use Grid or Martingale strategies?

No. NEXA Outcome Dominance EA MT5 avoids both Grid and Martingale, using fixed risk controls and logical decision-making for every position.

❓ Why doesn't NEXA Outcome Dominance EA MT5 trade immediately after installation?

NEXA Outcome Dominance EA MT5 requires a warm-up period to collect tick data, build market states, and reach sufficient confidence before opening trades.

❓ What risk management features are included in NEXA Outcome Dominance EA MT5?

NEXA Outcome Dominance EA MT5 includes drawdown protection, daily loss limits, margin checks, cooldown periods, and consecutive-loss protection.

❓ Can I choose different lot sizing methods in NEXA Outcome Dominance EA MT5?

Yes. NEXA Outcome Dominance EA MT5 supports both Risk Percent and Fixed Lot modes, allowing flexible position sizing based on your preferences.

❓ Why does NEXA Outcome Dominance EA MT5 sometimes show BUY or SELL without opening a trade?

NEXA Outcome Dominance EA MT5 may evaluate BUY or SELL signals but reject execution if confidence, spread, costs, or risk conditions are not satisfied.

Worldwide Instant Access
Download your EA software from anywhere in the world.
Reliable & Tested
Each EA is thoroughly tested and optimized for best performance.
Recently Viewed
  • Price range: $89.00 through $599.00
  • Price range: $89.00 through $599.00
  • Price range: $80.00 through $599.00
  • Price range: $89.00 through $599.00
Related Items
  • 2
    $180.00
  • 4
    $370.00
  • 3
    $140.00
  • 7
    Original price was: $1,199.00.Current price is: $229.00.
Want Unlimited Access to EA Bots, Indicators & Exclusive Trading Tools?

Start today, get instant access to all EA bots!

Download Unlimited - Exclusive Updates - Save More

The company’s mission

We are an organization offering affordable Forex trading tools for educational purposes. Achieve the greatest benefits with minimal investment at eafxstore.com.
  • Telegram
  • Email
  • Youtube
  • Facebook

Policy

DCMA REPORT
Privacy Policy
Refund policy

Help

About US
Contact
Copyright 2023 ©EAFXSTORE.COM
EA FX Store
Logo
Shopping cart