Quick Summary:
Dynamic Liquidity Intelligence for MT5 is a liquidity-hunting scalper by Sathit Sukhirun designed for XAUUSD on M15. Rather than chasing price, the EA identifies Swing High and Swing Low liquidity pools and places pending orders (Buy Stop / Sell Stop) to catch breakouts in the direction of dominant market momentum.
No grid. No martingale. Every order has predefined stop loss and take profit from the millisecond it’s placed. Dynamic SL/TP adjusts to volatility, break-even triggers automatically once profit reaches a threshold, and a trailing stop locks gains progressively.
The developer runs six simultaneous live signals across different account sizes on HF Markets and IC Markets. A 10-year fixed-lot backtest from 2015–2025 shows a smooth equity curve with 1.43 PF, 81.84% WR, and 6.09% balance DD across 4,053 trades. Published March 23, 2026 — the product and signals are very new.
Official MQL5 Listing:
Dynamic Liquidity Intelligence — MQL5 Marketplace
How Liquidity Hunting Works
The concept behind Dynamic Liquidity Intelligence is rooted in institutional market structure theory: price doesn’t move randomly — it moves from liquidity to liquidity. Swing Highs and Swing Lows represent concentrations of stop orders (liquidity pools). When price reaches these zones, it triggers a cascade of orders that creates momentum.
The EA exploits this by:
- Identifying liquidity pools — the system continuously analyses market structure to locate significant Swing Highs and Swing Lows where stop orders are likely concentrated
- Setting pending orders — rather than entering at market price, the EA places Buy Stop and Sell Stop orders at breakout levels. This means you only enter when price actually reaches the liquidity zone and breaks through — no premature entries
- Riding the momentum — when a liquidity pool is triggered, the resulting cascade of stopped-out orders creates directional momentum. The EA’s pending order catches this momentum from the breakout point
- Dynamic risk/reward — SL and TP levels adjust based on current volatility. In strong trends, the TP distance expands to capture larger moves. The SL-to-TP ratio is always controlled to ensure the reward justifies the risk
This is fundamentally different from indicator-based scalpers that react to signals. Dynamic Liquidity Intelligence anticipates where price will go based on where the liquidity sits — and waits there with a pending order.
Capital Protection — Break-Even + Trailing
Once an order moves into profit and reaches a predefined threshold, the system automatically moves the stop loss to break-even — eliminating the possibility of a winner turning into a loser. From there, a trailing stop advances step-by-step to lock in additional gains as price moves further in your favour.
This aggressive capital preservation means the EA gives back as little profit as possible once a trade moves in the right direction. Combined with the defined SL from entry, every trade has bounded risk from the first millisecond.
Institutional Timing Filters
The EA knows when not to trade:
- Friday close — stops trading before the weekend to avoid uncontrollable Monday gap risk
- New Year pause — automatic pause during the holiday season when markets are directionless with thin liquidity
- Market open/close filters — only trades during periods with genuine trading volume, avoiding thin-liquidity hours where spreads widen and fills deteriorate
Six Live Signals — Multiple Account Sizes
The developer runs six simultaneous live signals across different account sizes and brokers, allowing you to see how the EA performs at different capitalisation levels:


⚠️ Live Signals — Very Early Stage (1–2 Weeks)
| Signal | Growth | Max DD | Win Rate | Deposit |
|---|---|---|---|---|
| HFM $100 (Very High Risk) | 109% | 24.2% | 100% | $100 |
| IC $100 (Very High Risk) | 77% | 20.6% | 100% | $100 |
| $2,000 Signal | Monitor via link — early stage | |||
| $5,000 Signal | Monitor via link — early stage | |||
| $10,000 Signal | Monitor via link — early stage | |||
Context: All signals are 1–2 weeks old. The 100% win rate will inevitably change as more trades are taken — no strategy wins every trade indefinitely. The $100 signals run on “Very High Risk” settings. The larger account signals ($2K, $5K, $10K) use more conservative lot sizing. Monitor all signals for several months before drawing conclusions.
Lot sizing formula: The developer provides a clear lot sizing guide based on account size: $200 balance / 200 = 0.01 lot, $500 / 200 = 0.01 lot (conservative), $2,000 / 200 = 0.01 lot, $5,000 / 500 = 0.01 lot, $10,000 / 1,000 = 0.01 lot. The smaller the divisor, the more aggressive the sizing. Choose based on your risk tolerance.
10-Year Fixed-Lot Backtest (2015–2025)

The fixed-lot equity curve is the most meaningful validation — it removes the compounding distortion and shows the raw strategy performance across a full decade of Gold market conditions, including the 2020 pandemic crash, 2022 rate hikes, and 2024–2025 Gold bull run.

✅ 10-Year Backtest — XAUUSD M15, Fixed 0.01 Lot (4,053 Trades)
- Initial Deposit: $100
- Net Profit: $3,954
- Profit Factor: 1.43
- Recovery Factor: 30.03
- Sharpe Ratio: 3.37
- LR Correlation: 0.97
- Win Rate: 81.84% (3,317 wins / 736 losses)
- Short WR: 81.73% | Long WR: 81.96%
- Avg Win: $3.99 | Avg Loss: -$12.60
- Max Consecutive Wins: 54 ($177)
- Max Consecutive Losses: 4 (-$33)
- Balance DD Max: $126 (6.09%)
- Balance DD Relative: 24.23%
- Equity DD Relative: 24.55%
- History Quality: 98%
Key observations:
- 0.97 LR correlation across 4,053 trades over 10 years — near-perfect linear equity growth. This is the strongest indicator of a genuine, persistent edge rather than curve-fitting or lucky clustering
- Recovery factor of 30.03 — net profit is 30x the maximum drawdown. This is exceptional and indicates rapid recovery from adverse periods
- Average loss is ~3x average win — $12.60 avg loss vs $3.99 avg win. The 81.84% win rate compensates, but when losses occur, they’re proportionally larger. Maximum consecutive losses of 4 keeps the damage contained
- Balanced long/short performance — 81.96% long WR and 81.73% short WR are nearly identical, suggesting the strategy works equally well in both Gold trend directions
- 4,053 trades over 10 years — approximately 33 trades per month or roughly 1–2 per trading day. This is moderate frequency — selective but not inactive
Past performance is not indicative of future results. Always test on demo before going live.
Customer Reviews

★★★★★ “This is the most reliable EA I’ve tried.”
The administrator answers all questions and makes profits efficiently.
— Tammarat Jarernlabsukying, MQL5 Verified Buyer
The product currently has 3 reviews (all 5-star) — it’s very new (published March 23, 2026). More reviews will accumulate as the user base grows.
EA Setup
- Platform: MetaTrader 5 (Hedging mode required)
- Instrument: XAUUSD (Gold) — also compatible with EURUSD and major pairs
- Timeframe: M15
- Strategy: Pending orders (Buy Stop / Sell Stop) at liquidity pool breakouts
- Stop Loss: Dynamic, predefined on every order from placement
- Take Profit: Dynamic, adjusts to volatility (expands in strong trends)
- Break-Even: Automatic once profit threshold is reached
- Trailing Stop: Step-by-step profit locking
- Grid / Martingale: None
- Minimum Deposit: $200
- Recommended Deposit: $350–$500
- Lot Sizing: Balance ÷ divisor = 0.01 lot (e.g. $200/200, $5,000/500)
- Leverage: 1:100 minimum, 1:500 recommended
- Account Type: ECN, Raw, or Razor (ultra-low spreads essential)
- VPS: Required for 24/7 operation
- Timing Filters: Friday close, New Year pause, volume-hours only
Our Assessment
Based on the 10-year backtest, early live signals, and system architecture:
- 10-Year Fixed-Lot Backtest — The Standout: The 0.97 LR correlation and 30.03 recovery factor across 4,053 trades over a full decade is the most compelling evidence here. A fixed-lot backtest removes compounding distortion and shows raw strategy quality. The smooth equity curve through 2020’s crash, 2022’s rate hiking cycle, and 2024–2025’s Gold rally demonstrates the strategy adapts to fundamentally different market regimes
- Pending Order Approach: Using Buy Stop / Sell Stop at liquidity zones is fundamentally different from most Gold EAs that enter at market price on indicator signals. Pending orders mean you only enter when price actually reaches the level — reducing premature entries and slippage. The liquidity pool theory is well-established in institutional trading literature
- Clean Risk Structure: Every order has SL/TP from placement, break-even triggers automatically, trailing stop locks profit. No grid, no martingale, no averaging. This is the cleanest possible risk architecture — each trade stands on its own merits
- Live Signals — Far Too Early: All signals are 1–2 weeks old. The 100% win rate on the $100 signals will inevitably change. The impressive early growth (109% on HFM, 77% on IC) comes from “Very High Risk” settings on small accounts. The larger account signals ($2K–$10K) use conservative sizing and are more representative of realistic performance. Monitor all signals for several months
- Avg Loss > Avg Win: The backtest shows avg loss of $12.60 vs avg win of $3.99 (~3:1 ratio). The 81.84% win rate compensates, but this means losing streaks — while short (max 4 consecutive) — produce outsized impact. This is the standard trade-off of high-win-rate scalping with tight TP
- Six Signals — Good Transparency: Running signals at $100, $200, $500, $2,000, $5,000, and $10,000 shows how the EA performs across different account sizes with different lot sizing. This is useful for buyers to find the signal closest to their own account size. The lot sizing formula (balance ÷ divisor) is clearly documented
- Very New Product: Published March 23, 2026 with 3 reviews. The developer (Sathit Sukhirun) doesn’t have an extensive MQL5 track record. The 10-year backtest is strong, but live validation is what matters. Demo test thoroughly
- Overall: Dynamic Liquidity Intelligence brings a genuinely different approach to Gold scalping — pending orders at liquidity zones rather than market entries on indicators. The 10-year fixed-lot backtest with 0.97 LR correlation is the strongest evidence of a persistent edge. The clean risk structure (SL/TP from placement, auto break-even, trailing) is exemplary. The main concerns are the extremely new live signals (1–2 weeks) and the developer’s limited MQL5 track record. For traders who understand and believe in liquidity-based market structure theory, this is a well-architected implementation — but monitor the live signals for months before committing significant capital
Who Is Dynamic Liquidity Intelligence For?
Ideal for traders who:
- Believe in liquidity-based market structure — the EA trades where institutional stop orders cluster
- Want clean risk on every trade — SL/TP from placement, auto break-even, trailing stop
- Prefer pending orders over market entries — no premature entries, no slippage on execution
- Value long-term backtested consistency — 10-year fixed-lot curve with 0.97 LR correlation
- Can monitor a new product — signals and reviews will develop over coming months
Consider alternatives if you:
- Need a proven live track record — all signals are 1–2 weeks old
- Want an established developer — limited MQL5 history
- Are uncomfortable with avg loss > avg win — losses are ~3x winners
- Prefer MT4 — this is MT5 only (Hedging mode required)
- Can’t use ECN/Raw accounts — ultra-low spreads are essential for the strategy
Risk Disclaimer
Past performance does not guarantee future results. The 10-year backtest uses historical data and fixed 0.01 lot sizing. The live signals are 1–2 weeks old and do not constitute a proven track record. The “Very High Risk” $100 signals show 20–24% drawdowns — conservative lot sizing will produce different results. Average losses are approximately 3x average wins — the high win rate compensates but is not guaranteed to persist. Always test on a demo account with your broker before live deployment. ECN/Raw accounts with ultra-low spreads are essential. Do not trade with funds you cannot afford to lose.
What Do You Receive?
– Dynamic Liquidity Intelligence for MT5 – Latest Version
– Installed directly to your MT5(s) from the MQL5 marketplace
– Free lifetime updates (which you can download yourself)

