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BUNDLE DI PRODOTTI
Al momento dell'acquisto, otterrai anche una licenza per ciascuno dei prodotti elencati di seguito:
  • DAX VOLUME-X WITH MONEY MANAGEMENT (4 HOUR)
  • DAX VOLUME-X (4 HOUR)
  • DAX SUPERTREND-X WITH MONEY MANAGEMENT (2 HOUR)
  • DAX SUPERTREND-X (2 HOUR)
  • DAX SMA-X WITH MONEY MANAGEMENT (4 HOUR)
  • DAX SMA-X (4 HOUR)
  • DAX MACD-X WITH MONEY MANAGEMENT (2 HOUR)
  • DAX MACD-X (2 HOUR)

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APRIL 22 TO NOVEMBER 3 OF YEAR 2025:

GRAPHS:

 

 

 

 

 

MULTI-INDICATOR ALGORITHMIC SYSTEM FOR THE DAX 40

DAX MIMETIC-X is a professional, multi-algorithmic trading system designed for the DAX 40 Index (GER40) and developed exclusively on the ProRealTime platform.
It integrates 8 autonomous long-only algorithms, each representing a distinct class of classical technical indicator — from momentum and volatility to trend strength and volume dynamics — reinterpreted as self-contained, adaptive trading entities.

The system translates traditional chart-based methodologies into a modular, algorithmic ecosystem, where each bot acts as an analytical specialist operating within a collective, behaviorally diversified framework.
This design enables DAX MIMETIC-X to replicate the logic of human technical interpretation with the precision and consistency of code execution.

Each module functions independently, running on either 2-hour or 4-hour timeframes, contributing to a balanced exposure profile that reduces internal correlation and enhances overall capital efficiency.
Two versions are available for professional deployment:

With Progressive Money Management: compound scaling per trade to optimize capital growth during favorable conditions.

Without Money Management: fixed exposure (1 €/pip) for controlled, benchmark-oriented operation.

 

TECHNICAL SPECIFICATIONS (COMMON TO ALL MODULES)

Parameter Specification
Underlying Assets DAX 40
Platform ProRealTime
Programming Language ProBuilder
Position Type Long-only
Timeframe 2-hour / 4-hour depending on bot
Automation 100% fully automated
Available Versions With and without progressive money management
Risk Management Auto breakeven, adaptive trailing stop, static and dynamic exits

 

Both versions were executed under identical signal and risk parameters, ensuring analytical comparability and demonstrating that performance differentiation arises solely from capital-scaling mechanics.

The dual architecture thus enables strategic adaptability:

The fixed-risk configuration suits institutional overlays, conservative capital deployment, or stable portfolio complement.

The progressive-compounding model targets exponential growth with managed drawdown and asymmetrical reward potential.

 

ENDIF

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