-Do Not Apply If you are experimenting with EAs. I need an Already Existing and Proven EA with consistent history in all market conditions. -I have 1000's of EA already but i do not have time, patience and money to Test Them. -Do not curve fit or over optimize an EA to get desired results. -Do not Apply or Provide an EA which is already available for Public on Internet or any EA Shopping/Store. -2+ Years of Backtesting and at least 1 year of forward/walk forward testing results. -You need to clearly mention the strategy on delivery so based on the strategy the EA can be managed properly in future. Specification Objective: Develop a highly reliable Expert Advisor (EA) capable of passing and maintaining prop firm challenges by achieving steady, consistent profits with controlled risk and minimal drawdown. Key Goals: 1. Reliability: EA must perform consistently across different market conditions — trending, ranging, and high-volatility periods. 2. Profitability: Target an average monthly gain of 11–15%, while respecting Prop Firm's drawdown rules. 3. Low Risk: Maximum daily drawdown under 3%, total drawdown under 7-8%. 4. Scalability: Should work with prop firm accounts (10k - 100k, 200k, etc.) and normal retail accounts starting from 200$ to 5K USD. 5. Make sure it works as per the market structure & confirmation across multiple instruments and time frames however I need right setting and time frame where this EA works at its best. 6. Strict conditions and filters before an EA open trade to ensure high reliability with high reward risking per Dollar. 7. No Over Optimization or Overfitting- Any EA can be optimized for maximum returns in backtesting and I DONT NEED THAT. I need an EA with setting which is adaptable as per market situation and stable over time under all market conditions. 8. DO NOT Provide an EA which is already publically available over internet or stores. --- ⚙️ Core Strategy Requirements Its upto you, You can decide whether it’s: Machine Learning/Nerural Network or AI Based EA Single Trade/Single Shot EA using smart money concepts, ICT (Liquidity Sweep, Swap Zone, Market Structure, Order Block etc) Momentum/Directional Strategy to Capture Big Moves with very Precise Entry and Exits Trend-based: EMA, RSI, Fibonacci Expansion/Retracement, Elliott Waves and/or structure-based entries. Smart hedge system: Uses both buy and sell positions to reduce risk and balance exposure. Basket logic: Group trade management (targets profit across multiple pairs rather than per-trade). No Grid and No martingale: Must avoid dangerous compounding or high lot escalation. News/volatility filter: Avoid trading during high-impact events (NFP, CPI, FOMC, etc.). Ultimately the Goal is to get an Ultimate EA with High Reward vs Risk Ratio with consistency. Sharpe Ratio >3 and RR 1:3 to 1:10. Should work on equity as low as $200 or 250$. --- 💰 Money Management Dynamic lot sizing (based on equity or balance % or compounding). Entry Based on strict parameters. IF the criteria follows in more then 2 Instruments then the EA must follow where there is High Probability Trade with maximum Reward CHances. Stop loss & take profit dynamically calculated based on the move and Risk to Reward Ratio. Option for trailing stop or equity protection. Optional breakeven and profit lock features. 🕒 Trading Conditions Should trade major pairs (e.g., EURUSD, XAUUSD, GBPUSD, USDJPY). Optional session filters (London, New York)- Optional. Works on M15–H1-H4 timeframes- Need Not to be Scalper- I need something where we can capture big moves more then 200 Pips with low risk Should handle disconnections or restarts safely in case if lagged or issue in vps. --- 📊 Dashboard & Reporting On-chart display: equity, profit, floating P/L, open trades, risk %, and status. Log performance to a CSV or text file for backtesting validation. Optional Telegram/Email alerts for trade activity. Optional if The EA can send Signals to Telegram or Whatsapp Only When there is a very High Probability Trade Setup. --- 🧩 Optional Advanced Features Built-in AI or adaptive mode (adjust risk or strategy type based on volatility). FTMO challenge mode: auto limits trading once drawdown or profit targets are reached. Capital protection mode after target hit. --- 📈 Expected Output Pass FTMO 100k challenge within 20–30 days under real market conditions. Steady, low-risk returns afterward.