Synapse GOLD+SILVER— マルチシンボル・トレンドフォローEA

Synapse GOLD+SILVER— マルチシンボル・トレンドフォローEA

Synapse GOLD+SILVER— マルチシンボル・トレンドフォローEA Auto Trading
Expert Advisors
MetaTrader 5
Sales from
8/14/2026
Last Updated At
8/2/2026
Version
1.15
My Profile
FXCOM
  • Whole period
  • 2 years
  • 1 year
  • 6 months
  • 3 months
  • 1 month
Profit
64,458JPY
Profit Factor
-
Rate of return risk  ?
17.66
Average Profit
16,115JPY
Average Loss
0JPY
Balance  ?
1,064,458JPY
Rate of return (all periods) ?
412.08%
Win Rate
100.00% (4/4)
Maximum Position  ?
2
Maximum Drawdown  ?
6.20% (3,649JPY)
Maximum Profit
22,934JPY
Maximum Loss
0JPY
Recommended Margin  ?
15,642JPY
Unrealized P/L
0JPY
Deposit  ?
1,000,000JPY
Currency
JPY- Account
Operable Brokers
Usable with MT5-adopting brokers.

Forward testing (Profit)

Product Statistics
Product Comments

Monthly Statistics

2026
2025
2024
2023
2022
  • Jan
  • Feb
  • Mar
  • Apr
  • May
  • Jun
  • Jul
  • Aug
  • Sep
  • Oct
  • Nov
  • Dec

Calendar for Months

About EA's Strategy

Translating...

Currency Pairs
[XAG/USD] [XAU/USD]
Trading Style
[Swing Trading]
Maximum Number Position
10
Maximum Lot
5
Chart Time Frame
H1
Maximum Stop Loss
0
Take Profit
0
Straddle Trading
No
Application Type
Metatrader Auto Trading
Other File Usages
No

Synapse GOLD+SILVER 

 


基本情報

項目記入内容
商品名Synapse GOLD+SILVER
キャッチコピー20年間の実データで検証し、最悪の時代も先にテストした貴金属トレンドフォローEA。損失はピークから最大-30%で自動停止。
プラットフォームMetaTrader 5
通貨ペアXAU/USD(ゴールド)、XAG/USD(シルバー)
取引スタイルスイングトレード(H1判定・平均保有1〜2日)
最大ポジション数10
最大ロット数変動(残高×リスク%からSL幅で自動逆算)
使用時間足H1
最大ストップロス変動(ATR×4。全ポジションに必ず損切りを設定)
テイクプロフィット変動(トレーリング決済)
両建てなし(ロング専用)


ストラテジーについて(本文)

勝率は約38.5%です。

その代わり、このEAは「なぜこの数字を信じてよいのか」を、購入前にすべて確認できるように作られています。

戦略の中身

ゴールドとシルバーを対象にした、ロング専用のトレンドフォローです。H1足で高値ブレイクを検知してエントリーし、ATR基準の損切りとトレーリングで「損小利大」を徹底します。

勝率38.5%と低いのは設計どおりで、平均利益が平均損失を大きく上回ること(実測で約2.1倍)で20年間の優位性を成立させています。

ナンピン・マーチンゲールは使いません。

すべてのポジションに損切りが入ります。

そして口座資産がピークから一定割合(既定30%)下がったら、全決済して自動停止します。

つまり、想定される最大損失は最初から決まっています。

検証について

バックテストの数字は、作り方次第でいくらでも良く見せられます。私はそれを避けるため、以下をすべて実施しました。

① 20年・複数の時代での検証。 直近の良い相場だけでなく、2006年からの20年——リーマンショック、2013-2015年の貴金属下落期(このEAにとって最悪の時代です)、2022年の調整を含む——で検証し、20年を通して稼働しています。

② 実在ブローカー2社での環境校正。 自作の検証環境が現実とズレていないか、Exness実データ・OANDA証券実データと突き合わせて校正しました。金の20年照合では年別損益の符号がほぼ一致、相関0.97。テスト環境が現実から乖離していないことを確認しています。

③ スワップ(金利調整額)込みの検証。 貴金属の買いポジションには保有コストがかかります。多くのバックテストはこれを無視しますが、本EAはOANDA実データのスワップを反映した状態で検証しています。

④ 最悪ケースの開示。 20年で最も深いドローダウンは証拠金ベースで約28%に達しました。本EAはピークから-30%で全決済・自動停止する設計で、この停止ラインは過去20年の最深ドローダウンのすぐ上にあります。 これは隠すべき点ではなく、損失を-30%で打ち切る安全装置が、実際に起こり得る谷の直上に置かれているという開示です。将来が過去よりわずかに悪いだけで、自動停止に触れる可能性があります。

実績数値(OANDA証券 実データ20年・スワップ込み・既定H1/Risk1.0%/Lock30)

項目数値
検証期間2006年7月〜2026年7月(20年)
総損益+778%(年率約11.5%・複利)
プロフィットファクター1.33
シャープレシオ1.23
最大ドローダウン(証拠金)28%
損益曲線の直線性(LR相関)0.91
勝率38.5%
総取引数2,178(月あたり約9回)
自動停止(-30%)発動なし・20年完走
 

リスク設定について

  • 既定は Risk 1.0%(時間足H1・EquityLock 30%)です。 上記の実績値はこの既定構成での実測です。


  • リスク%は「取引の中身」を一切変えません。 RiskPercentを変えても、いつ・どの銘柄でエントリー/決済するかは同じで、1トレードあたりの張る大きさ(=ロット)だけが比例して変わります。したがって、より保守的にしたい場合はRiskPercentを下げてください。取るトレードは同一のまま、ドローダウンもリターンも比例して小さくなります。


  • リスク%を上げる場合は注意が必要です。 リスクを上げるとドローダウンも比例して深くなり、既定のEquityLock30%に近づきます。通常変動でロックが発動して停止することを避けるため、リスクを上げる際はEquityLock%も併せて引き上げてください。


  • さらに高い/低いリスク設定も入力上は可能ですが、上記の既定構成(Risk1.0%+Lock30)以外は検証済み範囲外となるため、自己責任でお願いします。


  • RiskMode=AutoBySwap を選ぶと、EAが口座のスワップコストを実測し、軽量口座/重量口座で適用リスク%を自動的に切り替えます(判定不能な口座は安全側を選択します)。

検証の限界について

  • 過去20年で最悪だった状況までは検証済みですが、それを超える未来は誰にも保証できません。


  • 上記のとおり、20年の最深ドローダウン(約28%)は自動停止ライン(-30%)のすぐ手前まで達しています。将来が過去よりわずかに悪いだけで、-30%の自動停止に触れる可能性があります。停止=損失を-30%で打ち切ることが、本EAの安全設計です。


  • スワップ水準・スプレッドはご利用の口座により異なり、成績に影響します。スワップの軽い口座(スワップフリー含む)ほど有利です。


  • Symbolsは空欄(自動検出)を推奨します。EAがチャート銘柄を基準に、その口座の金・銀の銘柄名(XAUUSDm / XAUUSD.r / GOLD 等のサフィックス差も含む)を自動で解決します。検証済みの構成は金+銀のみで、他銘柄での運用は自己判断でお願いします。


よくある質問(FAQ欄用)

Q. 勝率が38.5%と低いのはなぜですか? A. トレンドフォローの設計どおりです。小さく何度も損切りし、大きなトレンドを伸ばすことで、平均利益が平均損失を大きく(約2.1倍)上回ります。勝率の高さと「勝ち続けること」は別物です。

Q. どの口座で使えますか? A. MT5でゴールド・シルバーのCFDが取引できる口座でご利用いただけます。1つのCFD口座で金銀両方を運用できます。口座選びで成績が変わる要素は3つです:①スワップ水準(軽いほど有利。スワップフリーなら掲載の検証値より有利な条件になります)②スプレッド(金が恒常的に$0.5を超える口座はエントリー見送りが多発するため不向きです)③金と銀が同一口座で扱えること(必須条件)。銘柄名は空欄のまま自動検出されるので、ブローカーごとのサフィックス差を気にする必要はありません。

Q. スワップフリー口座では成績が変わりますか? A. 良くなります。掲載の検証値はスワップコストを差し引いた数字なので、そのコストが消える分だけ条件は検証より有利です。ただしスワップの代替手数料や保有日数制限がないか、口座条件をご確認ください。リスク設定は既定のままにしてください(価格変動リスクは同じです)。

Q. 最悪の場合いくら失いますか? A. 既定設定では、口座資産のピークから-30%で全決済・自動停止します。想定外の相場急変(週末窓開け等)でわずかに超過する可能性はありますが、損失を際限なく拡大させる構造(ナンピン・SLなし)は一切ありません。過去20年の最深ドローダウンは約28%で、停止ラインはそのすぐ上にあります。

Q. 推奨証拠金は? A. リスク%方式のため残高に自動適応しますが、最小ロット0.01の制約から100万円程度を推奨します。

Q. なぜ金と銀の2銘柄ですか? A. 検証の結果です。銅・ドル円等も含む複数銘柄を20年データで審査し、リスク調整後の成績が改善した組み合わせだけを残しました。

¥25,000 (taxed)
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Next price: (Tax Inc.)
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Forward Test
Back Test
¥25,000 (taxed)
5left
Next price: (Tax Inc.)
$undefined ¥27,800
Provider/Distributor:
Sales site:

Payment

Mastercard Visa JCB Bank FamilyMart D2 D1
About Forex Automated Trading
Forex Automated Trading refers to trading that is automated through programming, incorporating predetermined trading and settlement rules. There are various methods to conduct automated trading, but at GogoJungle, we deal with Experts Advisors (hereinafter referred to as EA) that operate on a trading platform called MT4.
There are various types of EAs (Expert Advisors) for different trading types that can be used on MT4.
Just like discretionary trading, there are those that decide trading and settlement timings by combining indicators, those that repeatedly buy or sell at certain price (pips) intervals, and trading methods that utilize market anomalies or temporal features. The variety is as rich as the methods in discretionary trading.

To categorize simply,
・Scalping (Type where trades are completed within a few minutes to a few hours),
・Day Trading (Type where trades are completed within several hours to about a day),
・Swing Trading (Type where trades are conducted over a relatively long period of about 1 day to 1 week)
・Grid/Martingale Trading (Holding multiple positions at equal or unequal intervals and settling all once a profit is made. Those that gradually increase the lot number are called Martingale.)
・Anomaly EA (Mid-price trading, early morning scalping)

When engaging in Forex, there are risks in automated trading just as there are in discretionary trading.
However, a substantial advantage of automated trading is its ability to limit and predict risks beforehand.

[Risk]
Inherent to forex trading are the trading risks that undeniably exist in automated trading as well.
・Lot Size Risk
Increasing the lot size forcibly due to a high winning rate can, in rare instances, depending on the EA, lead to substantial Pips loss when a loss occurs. It is crucial to verify the SL Pips and the number of positions held before operating with an appropriate lot.

・Rapid Market Fluctuation Risk
There are instances where market prices fluctuate rapidly due to index announcements or unforeseen news. System trading does not account for such unpredictable market movements, rendering it incapable of making decisions on whether to settle in advance or abstain from trading. As a countermeasure, utilizing tools that halt the EA based on indicator announcements or the VIX (fear index) is also possible.

[Benefits]
・Operates 24 hours a day
If there is an opportunity, system trading will execute trades on your behalf consistently. It proves to be an extremely convenient tool for those unable to allocate time to trading.

・Trades dispassionately without being swayed by emotions
There is an absence of self-serving rule modifications, a common human tendency, such as increasing the lot size after consecutive losses in discretionary trading or, conversely, hastily securing profits with minimal gains.

・Accessible for beginners
To engage in Forex trading, there is no prerequisite to study; anyone using system trading will achieve the same results.


[Disadvantages]
・Cannot increase trading frequency at will
Since system trading operates based on pre-programmed conditions, depending on the type of EA, it might only execute trades a few times a month.

・Suitability may vary with market conditions
Depending on the trading type of the EA, there are periods more suited to trend trading and periods more suited to contrarian trading, making consistent results across all periods unlikely. While the previous year might have yielded good results, this year's performance might not be as promising, necessitating some level of discretion in determining whether it is an opportune time to operate.
The requirements for operating automated trading (EA) on MT4 are as follows:
・MT4 (MetaTrader 4. An account needs to be opened with a Forex company that offers MT4.)
・EA (A program for automated trading)
・The operating deposit required to run the EA
・A PC that can run 24 hours or a VPS (Virtual Private Server), where a virtual PC is hosted on a cloud server to run MT4.
If you open an account with a forex broker that supports MT4, you can use MT4 as provided by that forex broker. MT4 is a stand-alone type of software that needs to be installed on your computer, so you download the program file from the website of the FX company where you opened the account and install it on your computer.

Additionally, there are both demo and real accounts available. You can experience trading with virtual money by applying for a demo account. After opening a real account, you select the connection server assigned by the Forex broker, enter the password, and log in to the account.
When you deposit money into your account using the method specified by the forex broker, the funds will be reflected in your MT4 account, and you can trade.
To set up an EA when you purchase it through GogoJungle, follow the steps below:
Firstly, download the purchased EA file from your My Page on GogoJungle. You will download a zip (compressed) file, so right-click to extract it and retrieve the file named ‘◯◯◯ (EA name)_A19GAw09 (any 8 alphanumeric characters).ex4’ from inside.

Next, launch MT4 and navigate to ‘File’ → ‘Open Data Folder’ → ‘MQL4’ → ‘Experts’ folder, and place the ex4 file inside. Once done, close MT4 and restart it. Then, go to the upper menu ‘Tools’ → ‘Options’, and under ‘Expert Advisors’, ensure ‘Allow automated trading’ and ‘Allow DLL imports’ are checked, then press OK to close.

The necessary currency pair and time frame for the correct operation of the EA are specified on the EA sales page. Refer to this information and open the chart of the correct currency pair time frame (e.g., USDJPY5M for a USD/Yen 5-minute chart).

Within the menu navigator, under ‘Expert Advisors’, you will find the EA file name you placed earlier. Click to select it, then drag & drop it directly onto the chart to load the EA. Alternatively, you can double-click the EA name to load it onto the selected chart.

If ‘Authentication Success’ appears in the upper left of the chart, the authentication has been successful. To operate the EA, you need to keep your PC running 24 hours. Therefore, either disable the automatic sleep function or host MT4 on a VPS and operate the EA.
EAs from GogoJungle can be used with one real account and one demo account per EA.
If you want to use it with an account other than the authenticated one, you need to reset the registered account.

To reset the account, close the MT4 where the Web authentication is registered, then go to My Page on GogoJungle > Use > Digital Contents > the relevant EA > press the ‘Reset’ button for the registration number, and the registered account will be released.

When the account is in a reset state, using the EA with another MT4 account will register a new account.
Also, you can reset the account an unlimited number of times.
If you encounter an error with Web authentication, or if the EA is trading on GogoJungle's forward performance page but not on your own account, there could be various reasons. For more details, please refer to the following link:
 → Items to Check When EA is Not Operating
In Forex trading, the size of a lot is usually:

1 lot = 100,000 currency units
0.1 lot = 10,000 currency units
0.01 lot = 1,000 currency units

For USD/JPY, 1 lot would mean holding 100,000 dollars.
The margin required to hold lots is determined by the leverage set by the Forex broker.
If the leverage is 25 times, the margin required to hold 10,000 currency units of USD/JPY would be:
10000*109 (※ at a rate of 109 yen per dollar) ÷ 25 = 43,600 yen.
・Profit Factor: Total Profit ÷ Total Loss
・Risk-Return Ratio: Total Profit and Loss during the period ÷ Maximum Drawdown
・Maximum Drawdown: The largest unrealized loss during the operation period
・Maximum Position Number: This is the maximum number of positions that the EA can theoretically hold at the same time
・TP (Take Profit): The set profit-taking Pips (or specified amount, etc.) in the EA's settings
・SL (Stop Loss): The set maximum loss pips (or specified amount, etc.) in the EA's settings
・Trailing Stop: Instead of settling at a specified Pips, once a certain profit is made, the settlement SL is raised at a certain interval (towards the profit), maximizing the profit. It is a method of settlement.
・Risk-Reward Ratio (Payoff Ratio): Average Profit ÷ Average Loss
・Hedging: Holding both buy and sell positions simultaneously (Some FX companies also have types where hedging is not allowed)
■ Important Matters and Risk Warnings Regarding Investment Products 【Financial Instruments Business Operator】
GogoJungle Inc.
Registration: Director-General of the Kanto Local Finance Bureau (Financial Instruments Business) No. 1960
【Member Association】
Japan Investment Advisers Association
【Fees and Expenses】
The use of software, e-books, investment advisory services, etc., provided on our platform involves purchase prices determined for each product.
Additionally, when conducting actual financial instrument transactions (such as FX or CFD trading), costs such as transaction fees and spreads (the difference between the sell and buy price) may be incurred through the connected brokerage firms.
【Margin and Risk of Loss】
Transactions such as FX (Foreign Exchange Margin Trading) and CFD (Contract for Difference) allow for trading in amounts exceeding the deposited margin.
Therefore, due to sudden fluctuations in target indices (currency, commodity prices, etc.), there is a risk of incurring losses that exceed the deposited margin (loss exceeding principal).
Furthermore, financial instrument transactions involve risks such as price fluctuations, which may result in losses falling below or exceeding the initial investment principal.
【Nature of Services and Trading Entity】
The Company operates a platform (marketplace) providing investment software and information; we do not engage in the buying, selling, mediation, brokerage, or agency of financial instruments on behalf of customers.
The services and information provided are intended as reference for investment decisions and do not guarantee future profits or specific results.
While some services include investment advice, they do not constitute a mandate or solicitation to trade specific financial instruments.
Final investment decisions and the execution of trades must be made at the customer’s own risk and discretion.