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Name: Stocks Squeezer
Version: Latest Version
Developer by: Federico Sbordoni
The Right Platform: Meta Trader 5 (MT5)
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Long-term stock investors — Ideal for individuals aiming for sustained portfolio growth over time.
Portfolio diversification — Traders who prefer spreading their capital across multiple assets to minimize single-stock risk.
Blue-chip traders — Perfect for investing in highly liquid, fundamentally strong companies.
Passive investors — MT5 users looking for a hands-off, set-and-forget investment approach.
Medium to large accounts — Best suited for accounts with enough margin to comfortably handle multi-stock exposure and position scaling.
Score: 4.6/5 ★★★★★
| Category | Score | Assessment |
| Portfolio Management | 4.8/5 | Exceptional capacity to handle and monitor up to 15 stocks simultaneously. |
| Automation | 4.8/5 | Flawlessly executes entries, scaling, and profit-taking across the portfolio. |
| Strategy Quality | 4.7/5 | A fundamentally sound Long-Only approach exploiting natural market volatility. |
| Performance | 4.6/5 | Highly effective for long-term equity growth during normal market conditions. |
| Risk Control | 4.5/5 | Great diversification, but position scaling requires strict capital allocation. |
| Ease of Use | 4.5/5 | Requires careful initial configuration for individual stock capital limits. |
Stocks Squeezer EA MT5 is a fully automated portfolio trading Expert Advisor (EA) developed for MetaTrader 5 (MT5). Unlike traditional Forex robots that focus exclusively on a single symbol, this EA is engineered to trade multiple stocks simultaneously (up to 15). This structure allows traders to systematically spread their capital across numerous high-quality companies, profiting from the natural volatility of the equity markets.
The system allocates a predefined, user-configured investment amount to each selected stock and manages every position completely independently. When a trade reaches its dynamic profit target, it closes automatically. If the market dips temporarily, the EA intelligently scales into the position (increases exposure) within safe, predefined limits while mathematically recalculating the profit target.
Trade Up to 15 Stocks: Diversify your portfolio with up to fifteen independent trading symbols running simultaneously.
Intelligent Capital Allocation: Assign specific, customized investment amounts to each individual stock.
Long-Only Strategy: Focuses exclusively on buying quality stocks, bypassing the unlimited risk profile associated with short selling.
Dynamic Position Management: Systematically manages and scales trades during temporary market pullbacks.
Continuous Portfolio Rotation: Automatically restarts the investment cycle for a stock immediately after securing a profit.
Portfolio-Based Execution: Instead of betting it all on one instrument, the EA distributes your capital across a basket of stocks, drastically lowering systemic risk.
Volatility-Based Entries: The system continuously scans the market, initiating new long positions when normal volatility creates attractive, discounted entry points.
Dynamic Position Scaling: If a stock’s price declines after the initial entry, the EA gradually scales in (buys more) at better prices. It strictly adheres to your safety limits and dynamically recalculates a closer Take Profit level for the entire basket.
Automatic Profit Taking: As soon as the calculated portfolio target for a specific stock is met, the EA liquidates that entire position and prepares for the next cycle.

Hedge Fund Mentality: It approaches the market like a portfolio manager rather than a day-trader, focusing on basket management over single-trade obsession.
True Diversification: A bad earnings report from one company will not blow up your entire account, as risk is dispersed across multiple assets.
Fundamentally Aligned: The Long-Only approach aligns perfectly with the historical long-term upward trajectory of global stock markets.
Account Compatibility: It operates seamlessly on both Netting and Hedging MetaTrader 5 accounts.
Performance Snapshot: Italian Portfolio
Initial Capital: €25,000 | Net Profit: €55,346.17
Profit Factor: 10.38 | Win Rate: 97.30%
Average Trade Profit: €141.78
Performance Analysis:
The Italian equity portfolio delivers exceptional risk-adjusted performance. With a Profit Factor of 10.38 and a 97.3% win rate, the strategy demonstrates elite-level precision in trade selection and execution. By maintaining a diversified exposure across multiple assets, the portfolio has achieved robust profitability while ensuring consistent balance growth. This performance profile highlights the system’s superior ability to capture gains while keeping volatility at a minimum.

Performance Snapshot: U.K. Portfolio
Initial Capital: €25,000 | Net Profit: €50,482.39
Profit Factor: 13.92 | Win Rate: 87.21%
Average Trade Profit: €132.98
Performance Analysis: The U.K. equity portfolio serves as a cornerstone of our systematic trading lineup, offering exceptional long-term stability. With a robust Profit Factor of 13.92 and a high 87.21% win rate, the strategy excels through disciplined capital management rather than aggressive speculation. This portfolio demonstrates remarkable consistency and reliability, proving itself as a dependable asset for investors who prioritize sustainable growth and risk-mitigation over market-topping volatility.

Performance Snapshot: U.S. Portfolio
Initial Capital: €25,000 | Net Profit: €56,874.19
Profit Factor: 37.71 | Win Rate: 99.10%
Average Trade Profit: €133.39
Performance Analysis:
The U.S. stock portfolio stands as the top-performing asset in our published test series, setting an extraordinary benchmark for systematic equity trading. By delivering an unprecedented Profit Factor of 37.71 alongside a near-perfect 99.1% win rate, the strategy demonstrates superior surgical precision in market entry and position management. This combination of institutional-grade consistency and aggressive profitability underscores the portfolio’s dominant performance relative to all other tested markets.

Structural Safety: Spreading risk across multiple assets is the gold standard of investment safety.
Completely Hands-Free: Once your stock list and allocations are configured, it autonomously handles the daily grind of portfolio management.
Independent Lifecycles: Each stock has its own risk limit and trade cycle, preventing a domino effect if one asset underperforms.
High Capital Requirement: Safely scaling into 10-15 stocks simultaneously requires a well-funded account with substantial free margin.
Bear Market Vulnerability: The Long-Only scaling strategy can face significant drawdowns or tied-up capital during prolonged, multi-year bear markets.
Stock Selection is Key: The EA automates the execution, not the selection. You must manually choose fundamentally strong, liquid blue-chip stocks. Running this on volatile penny stocks can be disastrous.
| Name | Fit |
|---|---|
| Trading platform | Meta Trader 5 (MT5) |
| Time frames | M5 (5 minute chart) |
| Currency pairs | Stocks or Stock CFDs |
| Min / Recommended deposit | $100 |
| Min / Recommended leverage | Any |
| Type of account | Any |
| 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. |
Stocks Squeezer EA MT5 is a pioneering automated portfolio solution that brings institutional-grade diversification to the MetaTrader 5 environment. By transcending single-instrument trading, it distributes capital across a curated basket of equities, enabling the construction of a balanced, low-correlation investment portfolio managed by sophisticated position and money-management algorithms.
With support for up to 15 independent stock allocations, dynamic profit targets, and rigid portfolio-level risk controls, Stocks Squeezer is purpose-built for investors prioritizing long-term equity growth. Its performance pedigree—validated through extensive historical backtests across US, UK, and Italian markets—demonstrates superior profitability, high win rates, and a remarkably resilient equity curve, proving that systematic equity trading can be both robust and consistent.
🤗WISH YOU SUCCESSFUL TRADING🤗
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