Raider

Plus

Raider uses momentum signals to enter trades with a defined profit target. If price moves against a trade, it can build a recovery basket and target a profitable exit. Preconfigured for 17 forex pairs on MT5.

  • 17 pairs, preset per symbol
  • Recovery grid averages down
  • Basket exits at break-even-plus
  • Sizing scales with equity
Platform
MetaTrader 5
Type
Expert Advisor
Access
Included with Stratotank Plus

Enter with an edge. Target a profitable exit.

Raider on an EURAUD H4 chart, with buy and sell entries connected to basket exits and the on-chart dashboard.
Raider on an MT5 chart. This H4 example illustrates the interface; the published tests below use M15 / H1.
Two baskets per pair
Dips feed the long basket; rallies feed the short basket. Each direction is managed separately.
A recovery grid
Additional entries at fixed distances bring the basket's average entry closer to price.
A shared exit
When price reverts far enough, Raider targets a break-even-plus close for the basket, then starts again.

Know what is open.
Know how it is sized.

The on-chart panel shows open positions, total volume and floating profit or loss, split by direction. Base sizing, current lot size and the update timestamp stay in view.

Set a base lot and an equity baseline. Position sizing scales with current equity: it grows as equity increases and shrinks during drawdown, subject to the broker's lot limits.

Raider dashboard showing three open USDCHF positions, 0.03 lots of volume, a floating loss and equity-based lot sizing.

Five years. Seventeen pairs.
Inspect the return and the drawdown.

Compare sizing levels for the same 17-pair portfolio, then open the individual pair reports. These are historical simulations, not a live or audited track record.

Conservative portfolio

$50,000 starting capital · 56,193 trades

Conservative portfolio historical balance and drawdown, January 2021 to December 2025; maximum open drawdown 15.7 percent.
The original report chart: account growth above, open drawdown below. Click to inspect.
Total return · 5 years
+248%
Annualized return
+28%
Max open drawdown
15.7%
Realized drawdown
2.9%
Profit factor
1.79
View Full Report

Balanced portfolio

$30,000 starting capital · 56,225 trades

Balanced portfolio historical balance and drawdown, January 2021 to December 2025; maximum open drawdown 25.4 percent.
The original report chart: account growth above, open drawdown below. Click to inspect.
Total return · 5 years
+732%
Annualized return
+53%
Max open drawdown
25.4%
Realized drawdown
4.4%
Profit factor
1.79
View Full Report

Aggressive portfolio

$20,000 starting capital · 56,310 trades

Aggressive portfolio historical balance and drawdown, January 2021 to December 2025; maximum open drawdown 40.2 percent.
The original report chart: account growth above, open drawdown below. Click to inspect.
Total return · 5 years
+2,367%
Annualized return
+90%
Max open drawdown
40.2%
Realized drawdown
6.0%
Profit factor
1.81
View Full Report

Every pair, on its own account.

Standalone tests start with $10,000 per pair. These results are separate from the shared-account portfolios above. Open a report for its settings, chart and trade history.

EURCHF historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,266
Return
+22.7%
Profit factor
2.07
Open DD
5.7%
Realized DD
1.5%
Trades
2,029
AUDCAD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,148
Return
+21.5%
Profit factor
2.03
Open DD
3.0%
Realized DD
1.0%
Trades
2,000
AUDCHF historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,107
Return
+21.1%
Profit factor
1.99
Open DD
5.7%
Realized DD
1.1%
Trades
1,489
AUDUSD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$5,474
Return
+54.7%
Profit factor
1.92
Open DD
7.1%
Realized DD
1.4%
Trades
5,129
EURCAD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$5,848
Return
+58.5%
Profit factor
1.81
Open DD
9.9%
Realized DD
2.5%
Trades
5,497
EURUSD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$5,546
Return
+55.5%
Profit factor
1.80
Open DD
6.7%
Realized DD
1.9%
Trades
3,894
GBPCHF historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$5,174
Return
+51.7%
Profit factor
1.80
Open DD
11.8%
Realized DD
2.6%
Trades
2,490
CADCHF historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,568
Return
+25.7%
Profit factor
1.80
Open DD
10.5%
Realized DD
3.2%
Trades
1,379
EURGBP historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$3,919
Return
+39.2%
Profit factor
1.77
Open DD
25.9%
Realized DD
5.5%
Trades
2,559
NZDUSD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,379
Return
+23.8%
Profit factor
1.77
Open DD
10.6%
Realized DD
2.8%
Trades
2,119
NZDCAD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$1,671
Return
+16.7%
Profit factor
1.76
Open DD
6.7%
Realized DD
1.8%
Trades
1,949
USDCAD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,602
Return
+26.0%
Profit factor
1.74
Open DD
16.8%
Realized DD
3.7%
Trades
2,865
GBPNZD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$8,825
Return
+88.3%
Profit factor
1.69
Open DD
29.3%
Realized DD
6.5%
Trades
9,264
GBPUSD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$6,838
Return
+68.4%
Profit factor
1.68
Open DD
22.5%
Realized DD
5.6%
Trades
3,746
EURAUD historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$6,958
Return
+69.6%
Profit factor
1.66
Open DD
43.3%
Realized DD
6.2%
Trades
5,873
EURJPY historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$2,804
Return
+28.0%
Profit factor
1.64
Open DD
9.0%
Realized DD
2.5%
Trades
2,581
USDCHF historical balance and open drawdown, January 2021 to December 2025.
Net profit
+$3,576
Return
+35.8%
Profit factor
1.62
Open DD
16.0%
Realized DD
3.2%
Trades
2,060

A preset for every pair.

Raider's package contains the EA, its QQE entry indicator, 17 chart templates and the Chart Setup tool. The templates carry each pair's timeframe and strategy settings.

  • MetaTrader 5 on Windows, with a hedging-mode account.
  • H1 templates for CADCHF and EURJPY; M15 for the other 15 pairs.
  • Symbol-postfix handling for broker-specific instrument names.
  • A position-sizing wizard to configure the equity baseline.

Before you run it

Can I use a netting account?

No. Raider manages multiple positions in separate long and short baskets. A hedging-mode MT5 account is required; netting accounts combine positions and change how the recovery grid works.

Does equity scaling put a ceiling on risk?

No. It adjusts the size of new trades relative to account equity. It does not impose a fixed stop loss, cap the basket's floating loss or prevent a margin call.

Are these live performance reports?

No. Every performance report on this page is a historical backtest for January 2021 to December 2025. The chart and video illustrate the software, not a verified live track record.

How do I get Raider?

Raider is available with Stratotank Plus. Subscribe to Plus, then install Raider into your MT5 terminals through Hangar. See pricing and everything included.

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Hangar Raider

Install from Hangar

Hangar finds every MT5 terminal on your machine and puts Raider in the ones you tick. Nothing to unzip, nothing to copy by hand — and it keeps the tool up to date after that.

Download Hangar

No credit card to install. Hangar is free and takes an account, nothing more.

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