RoyalPrince.org
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This is the "RoyalMarkov" full trading history on my customers' live account using my Custom Trading Statistics Journal 📊 application. You can see all the appropriate information you would ever need for any of your strategies that you are testing 📈. In the second picture, it shows off the Monte Carlo simulation to apply to your trading history 🎲. What if you had more trades across many different simulations? 🤔 What would be your expected profit, drawdown, or loss? 💰 All of this is done inside the app in a matter of seconds ⚡️. This is why I enjoy using this application so that I can see my actual progress 🚀.
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Live Customer Account (idk why myfxbook isn’t updating) but anyways i turned off the ea since i don’t like trading fridays and i am trying to trade this customers Live account as i would trade my-own.
for more information on RoyalMarkov you can ask me directly
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https://www.myfxbook.com/members/royalprince/royalmarkov/12068395
This is the customers account who is testing Live 1k account with icmarkets
RoyalMarkov. 🤞 Cross fingers it goes well 🤞
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Amazing New Indicator Made by RoyalPrinceTrading for MT5
Trade like the big dogs do.
When purchasing ($53) the user gets a fully How to use PDF with the indicator .
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RoyalPrince History Trade Statistics Software 📈💻. Designed to help Traders keep track of all of their accounts in one place 🏦 and also run Monte Carlos Simulations 🎲 and much more. ✨
$10 for no Expire License (requirement have purchased an expert advisor from RoyalPrince before) 🔑
New purchase: $10 a year or $50 for no ExpireDate. 🗓💰
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MeanRoyal Stocks is a MeanReversion for Stocks where we are placing buy trades on the reversion of stocks looking through the day timeframe market. 📈📉
how to use: 🛠
go to your Marketwatch and remove all symbols. then add only your Stock Symbols you would like to trade. 📝
Next load the EA onto one chart on the H1 Timeframe. Then that's it. ✅
this ea moves slow but it can be very accurate in the longterm. 🐢🎯
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Version 3 = Fixed Entry Loop so it doesn't just open random trades sometimes.
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RoyalMarkov is ready for Live testing.
Optimization was done with DukaScopy Data 100% Live real Ticks.
3 different Markets
Forex (eurusd) @ 0.01 lots start balance 500$
Metal(XAUUSD) @0.01 Lots start balance 500$
Index (US30 ) @0.10 lots start balance $1000
*Index on Icmarkets min_lot Contract is 0.10 lots. if you really want to trade Index with a small lotsize it will be best to use Tickmill as they have a contract size of 0.01 for Indexes and their Tickdata is the closest in similarity to Icmarkets.
I am looking for a User who wants to give me an account to test Live on their Account Preferred ICmarkets RAW or Tickmill RAW
You keep all the profits (risk set to max loss 50%)
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closing all open positions on MeanRoyalSTOCKS as i don’t want the swap fees for stocks for over the weekend.
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Testing in demo all possible stocks that are on ICmarkets that I think are good. I do have a list premade.
If on live account I wouldn’t use all these pairs. Unless you have an account big enough to run it because on ICmarkets all stocks minimum lotsize is 0.1 lots.
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MeanRoyal Stocks is a MeanReversion for Stocks where we are placing buy trades on the reversion of stocks looking through the day timeframe market. 📈📉
how to use: 🛠
go to your Marketwatch and remove all symbols. then add only your Stock Symbols you would like to trade. 📝
Next load the EA onto one chart on the H1 Timeframe. Then that's it. ✅
this ea moves slow but it can be very accurate in the longterm. 🐢🎯
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Version 2 before had a bug redownload for it to work
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👑 RoyalMarkov EA
RoyalMarkov EA is an advanced multi-market trading system designed to intelligently adapt to changing market conditions using probabilistic regime analysis and dynamic volatility management. Built for MetaTrader 5, RoyalMarkov continuously analyzes price behavior to determine whether the market is trending bullish, bearish, or moving sideways — allowing the EA to align its trading decisions with the current market environment instead of trading blindly.
Unlike traditional systems that rely on fixed indicators alone, RoyalMarkov uses a Markov-based regime detection model to estimate the probability of market state transitions. By studying historical price behavior and rolling return patterns, the EA identifies how likely the market is to continue trending or shift into a new regime. This creates a smarter, adaptive trading framework capable of responding to evolving market conditions across Forex, Metals, Indices, Futures, and Stocks.
The strategy combines intelligent market state recognition with ATR-based volatility calculations to dynamically adjust stop losses, take profits, and trade protection based on real-time market activity. During volatile conditions, RoyalMarkov automatically expands protection levels, while tighter conditions allow for more precise trade management. This adaptive structure helps improve consistency while reducing exposure to unpredictable market movements.
RoyalMarkov also includes an advanced economic news filter designed to avoid high-risk trading periods surrounding major financial events. Traders can configure the EA to pause trading before high-impact news releases, automatically resume after volatility stabilizes, or even close positions ahead of major announcements. Combined with intelligent trailing stop technology, the EA is designed to protect profits while allowing strong trends to continue developing.
At the core of RoyalMarkov is the concept of probability-driven trading. The EA does not attempt to predict the future with certainty. Instead, it continuously evaluates the statistical likelihood of market continuation or reversal based on observed historical transitions between bullish, bearish, and sideways regimes. This approach is inspired by Markov process theory, where the future market state is estimated based on the probability of transitioning from the current state into another state.
In simple terms:
If the market is currently bullish, RoyalMarkov evaluates the probability that the bullish trend will continue or transition into a bearish or sideways phase.
If volatility begins changing rapidly, the EA adjusts its protection and trade behavior dynamically.
If market conditions become unstable due to major news events, the EA can temporarily stop trading to reduce unnecessary risk exposure.
This creates a highly adaptive trading system focused on risk control, market awareness, and long-term consistency rather than aggressive overexposure.
RoyalMarkov EA was built for traders seeking intelligent automation, advanced market regime analysis, and professional-grade risk management in one complete trading solution.
🌍 Designed for All Markets
Forex • Metals • Indices • Futures • Stocks
🚀 Core Advantages
AI-Inspired Regime Detection
Probability-Based Trading Logic
Adaptive Volatility Management
ATR Dynamic Stop Loss & Take Profit
Integrated Economic News Protection
Intelligent Trailing Stop System
Professional Multi-Market Compatibility
Optimized MetaTrader 5 Execution
👑 RoyalMarkov EA
Trade the Regime. Follow the Probability. Control the Risk.
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MeanRoyal Stocks and RoyalGambler Index are just basic examples of the much more complex EA i am working on. because i want Risk Management but i want also an EA for Every Type of Market (optimization would be required ).
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MeanRoyal Stocks is a MeanReversion for Stocks where we are placing buy trades on the reversion of stocks looking through the day timeframe market. 📈📉
how to use: 🛠
go to your Marketwatch and remove all symbols. then add only your Stock Symbols you would like to trade. 📝
Next load the EA onto one chart on the H1 Timeframe. Then that's it. ✅
this ea moves slow but it can be very accurate in the longterm. 🐢🎯
Вже доступно! Дослідження Telegram за 2025 — головні інсайти року 
