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Name: QuantFusion
Version: Latest Version
Developer by: Sadra Mohammadi
The Right Platform: Meta Trader 5 (MT5)
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Professional Forex Traders — Traders looking for an institutional-grade automated trading system.
Portfolio Diversification Seekers — Investors who understand the power of spreading risk across multiple strategies.
FTMO & Prop Firm Traders — Excellent for funded challenges thanks to strictly controlled drawdown and swing logic.
Swing Trading Enthusiasts — Ideal for those who prefer capturing medium-term trends rather than high-frequency scalping.
Medium to Large Accounts — Best optimized for well-capitalized accounts (Standard: $5,000, Optimal: $20,000+).
ECN Broker Users — Designed to thrive in professional, low-spread ECN environments.
Score: 4.8/5 ★★★★★
| Category | Score | Assessment |
| Portfolio Diversification | 5.0/5 | Perfect execution — integrates 46 fully independent strategies into one EA. |
| Strategy Quality | 4.9/5 | High-quality signals focusing on medium-term price structures. |
| Automation | 4.9/5 | Fully automated from exposure allocation to trade management. |
| Long-Term Stability | 4.9/5 | Exceptional historical stability backed by rigorous long-term testing. |
| Risk Management | 4.8/5 | Brilliant risk distribution across multiple algorithms and 4 distinct risk profiles. |
| Ease of Use | 4.5/5 | Requires correctly configuring the BrokerTimeOffset for accurate performance. |
QuantFusion EA MT5 is a premium automated Expert Advisor (EA) developed exclusively for the EURUSD currency pair on MetaTrader 5 (MT5). Unlike traditional trading robots that rely on a single algorithm to navigate the market, QuantFusion integrates a massive ecosystem of 46 fully independent swing-trading strategies into one intelligent portfolio execution engine.
Rather than depending on hyper-aggressive scalping or ultra-fast execution speeds, QuantFusion focuses on medium-term market behavior. It adapts to trends, monitors diversified capital allocation, and delivers a much more consistent and resilient long-term equity curve.
46 Independent Trading Strategies: Diversifies trading decisions across multiple independent mathematical models.
Transparent Magic Number Structure: Every single strategy uses a dedicated Magic Number for easy monitoring and analysis.
EURUSD ECN Optimization: Specifically engineered for the EURUSD market under ECN execution conditions.
Multiple Risk Profiles: Supports Conservative, Balanced, Aggressive, and Very Aggressive configurations.
Reduced Scalping Dependency: Focuses on swing trading, severely reducing its sensitivity to latency and spread fluctuations.
Multi-Strategy Portfolio Engine: The EA acts as a portfolio manager, executing 46 independent algorithms simultaneously. Different internal algorithms will seamlessly take over depending on whether the market is trending, sideways, or experiencing high/low volatility.
Swing Trading Logic: Instead of chasing tiny micro-pip movements, QuantFusion analyzes medium-term price structures to identify high-quality setups with larger profit margins.
Adaptive Portfolio Management: The EA autonomously manages entries, exits, exposure allocation, and overall portfolio balancing without any manual intervention.
Broker Time Synchronization: The BrokerTimeOffset feature ensures that the EA’s internal trading sessions remain perfectly synchronized with actual market timing, improving entry accuracy.

True Portfolio Diversification: Relying on one strategy is risky. QuantFusion distributes that risk across 46 independent “brains.” If one strategy enters a drawdown, the other 45 are there to stabilize the portfolio.
Zero Scalping Stress: By strictly focusing on swing trading, the EA frees you from the stress of hunting for 0-pip spreads and 1ms latency VPS servers.
Absolute Transparency: You can see exactly which of the 46 strategies is executing a trade thanks to the dedicated Magic Number system.
Prop Firm Ready: The optimized risk management mechanisms make it a powerful tool for passing FTMO and other proprietary trading firm challenges.
Performance Snapshot
Initial Capital: $100,000
Net Performance: +$146,264.45 (~146% ROI)
Profitability Ratio: 1.44 Profit Factor
Resilience Metric: 10.19 Recovery Factor
Maximum Risk: 7.61% Equity Drawdown
Trade Volume: 8,853 Executions
Analytical Overview: This performance summary exemplifies a highly reliable trading strategy that perfectly balances steady profitability with prudent risk management. Across a statistically significant sample size of 8,853 executions, the system generated over $146,000 in net profit. Most notably, the strategy keeps capital exposure tightly regulated, with the maximum Equity Drawdown restricted to a highly secure 7.61%. Coupled with a robust Recovery Factor of 10.19, the algorithm proves its capability not only to minimize downside risk but also to swiftly recuperate from drawdowns and consistently push equity to new all-time highs.

Performance Snapshot
Initial Capital: $1,000
Net Performance: +$929,892,398.72 (Hyper-Exponential Growth)
Profitability Ratio: 1.53 Profit Factor
Resilience Metric: 5.95 Recovery Factor
Maximum Risk: 29.78% Equity Drawdown
Trade Volume: 17,927 Executions
Analytical Overview: This backtest report beautifully illustrates the absolute theoretical limits of a hyper-compounding strategy. Starting with a nominal $1,000 deposit, the algorithm aggressively reinvested profits across a massive sample size of 17,927 trades to generate astronomical returns. While this configuration adopts a highly aggressive risk profile—evidenced by an Equity Drawdown of 29.78%—the risk-to-reward dynamic is robustly supported by a solid 1.53 Profit Factor. This dataset serves as a powerful testament to the algorithm’s capability to aggressively exploit market cycles, making it ideal for high-risk, high-reward portfolios focused on exponential wealth generation.

Performance Snapshot
Initial Capital: $100,000
Net Performance: +$251,182.28 (>250% ROI)
Profitability Ratio: 1.51 Profit Factor
Resilience Metric: 24.22 Recovery Factor
Maximum Risk: 3.66% Equity Drawdown
Trade Volume: 17,755 Executions
Analytical Overview: This performance report illustrates an institutional-grade trading standard. Having rigorously processed a massive sample size of 17,755 executions, the system generated over $251,000 in net profit. The absolute crown jewel of this strategy is its elite risk management: Equity Drawdown is tightly contained at an astonishingly low 3.66%. When paired with a massive Recovery Factor of 24.22, the algorithm demonstrates flawless capital preservation and an exceptionally rapid recovery rate from any minor market turbulence, making it the ultimate engine for high-net-worth portfolios.

Incredible Stability: The combined force of 46 algorithms creates an immensely robust defense against harsh market cycles.
Dynamic Position Sizing: Trade volume automatically adjusts based on your account equity and chosen risk profile.
Built for Large Capital: Very few EAs on the market are genuinely engineered to safely and optimally manage large accounts ($20,000+).
EURUSD Only: You cannot deploy this EA on Gold or other Forex pairs. It is strictly monogamous with EURUSD.
Capital Requirements: While it can run on $500, to allow all 46 strategies enough margin to operate smoothly, a balance of $5,000+ is highly recommended.
Lengthy Backtesting: Because you are essentially backtesting 46 EAs at once, historical testing requires significantly more time and computing power.
Time Offset Setup: You absolutely must configure the correct BrokerTimeOffset for the EA to function as designed.
While QuantFusion EA offers an advanced portfolio-based solution, selecting higher risk profiles (Aggressive/Very Aggressive) can produce significantly larger drawdowns during unstable market conditions. An incorrect BrokerTimeOffset will negatively impact live execution quality. Furthermore, past backtest results cannot guarantee identical future live returns as the market is constantly fluctuating. It is highly recommended to run the EA on a Demo account with a low-spread ECN broker to verify execution quality before deploying live capital.
| Name | Fit |
|---|---|
| Trading platform | Meta Trader 5 (MT5) |
| Time frames | Any |
| Currency pairs | EURUSD |
| Min / Recommended deposit | $500+ |
| Min / Recommended leverage | Any |
| Type of account | ECN |
| Additional services | Unlock and Decompile |
| Brokers | Exness Broker, Icmarkets Broker |
| VPS | MyfxVPS.com ( Blue VPS, Golden VPS). Lowest Latency, 2 week Free Trial, 100% Free for 12-18 Months. |
QuantFusion EA MT5 represents a highly sophisticated approach to automated Forex trading by merging 46 independent swing-trading strategies into one unified portfolio execution engine. Instead of relying on a single rigid market model, it dynamically adapts to trending, ranging, high-volatility, and low-volatility conditions while maintaining balanced portfolio exposure.
Its transparent strategy architecture, flexible risk profiles, automatic equity-based position sizing, and ECN optimization make it one of the most comprehensive portfolio-style Expert Advisors available for MetaTrader 5. Backed by rigorous historical testing using 100% real tick data, the system demonstrates an uncompromising ability to thrive across diverse market environments and account configurations.
🤗WISH YOU SUCCESSFUL TRADING🤗
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