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Name: Indices Pulse
Version: Latest Version
Developer by: Md Abdul Manann
The Right Platform: Meta Trader 5 (MT5)
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Prop Firm Traders — Your secret weapon for passing evaluations and managing funded accounts. The Daily Loss Limit is an unbreakable shield that ensures you never violate drawdown rules.
Indices Specialists — Meticulously engineered to conquer the volatility of global indices like S&P 500 (US500), Dow Jones (US30), Nasdaq 100 (NAS100), DAX, and FTSE 100.
Small Investors — Grow your account with a logical, risk-managed approach. Percentage-based lot sizing ensures each trade is comfortable and calculated.
Automated Trading Enthusiasts — Perfect for those who need a 24/5 trading partner that operates without fear, greed, or hesitation.
Score: 4.8/5 ★★★★★
| Category | Score | Assessment |
| Strategy Design | 4.9/5 | Dual-trading algorithms (Mode A for momentum, Mode B for trend) provide exceptional versatility. |
| Risk Management | 5.0/5 | Institutional-grade protection: Daily P/L locking, Spread/Slippage protection, and automated loss limits. |
| Flexibility | 4.8/5 | Complete control over trading windows, lot sizing, and risk-to-reward ratios. |
| Ease of Setup | 4.7/5 | 3-step simple setup with pre-optimized .set files for immediate deployment. |
| Prop Firm Ready | 5.0/5 | Specifically built to navigate the strict restrictions and drawdown rules of modern funded account providers. |
| Sustainability | 4.6/5 | Mechanical, emotion-free strategy ensures stable, long-term performance. |
Indices Pulse EA MT5 is a powerful, fully automated Expert Advisor (EA) for MetaTrader 5 (MT5), meticulously engineered to conquer the volatility of global indices. It is not just another EA; it is your disciplined, 24/5 trading partner designed to execute high-probability strategies with rock-solid risk management.
Indices Pulse tackles the common challenges traders face—such as blowing prop firm challenges, emotional revenge trading, or simply lacking the time to monitor markets—by providing a mechanical, fear-free trading environment. Whether you are scaling a prop firm account or growing a small personal portfolio, this EA provides the structure and protection you need.
Multi-Index Optimization: Expertly crafted for US500, US30, NAS100, DE40, and UK100.
Dual Trading Algorithms: Switch between a responsive Price Action model (Mode A) and a robust Trend-Following system (Mode B).
Advanced Risk Guard: Features dynamic lot sizing, Daily P/L locking, and spread/slippage protection.
Intelligent Trade Management: Stop Losses are placed based on market structure (Support/Resistance), and Trailing Stops automatically lock in gains.
Full Session & News Control: Set exact trading windows and automatically pause during high-impact economic news events.
Community-Driven: Continuous improvements based on user feedback, with personalized support and custom .set file availability.
Algorithmic Selection: The EA assesses the current market character to deploy either the momentum (Mode A) or trend-following (Mode B) algorithm.
Strategy-Based Execution: It identifies high-probability setups and executes with precision, avoiding the traps of aggressive recovery strategies.
Structured Management: Every position is immediately protected by a structural Stop Loss and a calculated Take Profit.
Profit Locking: The trailing stop works tirelessly to secure profits, while the Daily P/L Lock ensures that once your daily objective is met, the EA stops, protecting your day’s success.


Prop Firm Survivalist: It turns the “impossible” prop firm drawdown rules into a manageable framework. If the market turns chaotic, the EA simply stops.
Professional Tooling: It treats trading like a business. It doesn’t hope; it calculates.
Partnership Approach: The developer actively engages with the community, providing custom .set files and support to ensure every user gets the most out of the tool.
US30 H1 EA Strategy has demonstrated positive performance during a short-term backtesting period in August 2025 on the MT5 platform (ICMarketsSC Demo – Raw account). With an initial deposit of $1,000, the system achieved a net profit of +$335.80, representing a gain of +33.58% during the testing period.
The strategy recorded a win rate of 57.14%, a Profit Factor of 1.39, and acceptable risk control with a Maximum Balance Drawdown of 19.01% and a Maximum Equity Drawdown of 21.64%. These results reflect the strategy’s ability to generate positive expectancy (Expected Payoff of +8.00) and reasonably stable trade management on the US30 H1 timeframe, supported by favorable correlations between profits and MFE/MAE.

This is a short-term backtest that demonstrates clear positive expectancy and controlled drawdown. The Profit Factor of 1.39 and Recovery Factor near 1.0 suggest the strategy is still in the development stage. However, the favorable MFE/MAE correlation indicates decent trade management and profit-taking logic. Extending the backtest period to at least 1–2 years and performing further optimization are recommended to improve the Recovery Factor and reduce the frequency of consecutive losing streaks.
USTECHCash H1 EA Strategy has demonstrated exceptional short-term performance during the backtesting period in August 2025 on the US Tech 100 (USTECHCash) H1 timeframe. Starting with an initial deposit of $1,000, the system achieved a net profit of +$584.20 (+58.42%) while maintaining very low drawdowns.
The strategy delivered an outstanding Profit Factor of 5.98, an excellent Recovery Factor of 7.69, a win rate of 69.57%, and superior risk control with a Maximum Balance Drawdown of only 4.14% and Maximum Equity Drawdown of 6.14%. These clean and efficient results highlight the strategy’s ability to capture meaningful profits while cutting losses quickly and effectively on US Tech 100 H1.
Key Performance Statistics:

Risk Metrics:
Time-based Analysis:
Correlations:
Overall Assessment: This is a high-quality short-term backtest. The standout metrics — particularly the Profit Factor near 6.0, Recovery Factor of 7.69, and extremely low drawdowns — indicate a robust edge with excellent risk management. The average win-to-loss ratio of approximately 2.64:1 and a streak of 9 consecutive winning trades further support the presence of a genuine trading advantage. However, because the test covers only one month, expanding the backtest across multiple market conditions and longer timeframes is strongly recommended to confirm long-term stability and robustness.
Expertly engineered for major indices, offering a distinct edge over multi-pair EAs.
Perfect balance of aggressive profit potential and institutional-grade risk management.
Excellent value proposition at just $34/month.
Transparent and logical trading behavior that is easy to understand.
Market Environment: While versatile, you should focus on the recommended high-liquidity indices for the best results.
Setup: To maximize performance, we recommend using recommended .set files provided by the developer.
Trading indices involves significant financial risk. While Indices Pulse employs high-level risk management, no automated system can eliminate market volatility.
Past performance is not indicative of future success. Always thoroughly test the EA on a Demo account to verify its performance under your specific broker’s conditions before committing real capital. Only invest funds that you are entirely prepared to lose.
| Name | Fit |
|---|---|
| Trading platform | Meta Trader 5 (MT5) |
| Time frames | H1 (60 minute chart) |
| Currency pairs | Dow Jones (US30), NAS100, S&P 500 (US500), DE40, UK100 |
| Min / Recommended deposit | $100 |
| Min / Recommended leverage | Any |
| Account type | Any |
| Product type | Original version |
| 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. |
Indices Pulse EA is a premium automated trading solution specifically engineered for index markets and the stringent requirements of modern Prop Firms.
The system integrates multiple intelligent entry algorithms, support and resistance-based stop-loss placement, adaptive trailing stop mechanisms, daily profit and loss controls, flexible session management, and multi-layered risk protection. This powerful combination delivers discipline, consistency, and precise capital control throughout the entire automated trading process.
Backed by strong historical performance and broad compatibility across major indices, Indices Pulse EA features a risk management framework specifically optimized for Prop Firm challenges. It allows traders to automate their strategies while maintaining strict capital protection — a key factor in successfully passing funded account evaluations.
For traders seeking a professional, fully automated index trading tool that performs reliably on both personal and Prop Firm accounts, Indices Pulse EA stands out as a top-tier choice worthy of serious consideration.
🤗WISH YOU SUCCESSFUL TRADING🤗
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