Introduction to Nostradermus RegLin DEEP Time PRO (MT4)
Nostradermus RegLin DEEP Time PRO is a professional MT4 expert advisor built for traders who prefer quantitative, rule-based execution. It detects value zones with a linear regression channel, confirms context with multi-timeframe momentum/RSI and spread/time filters, then deploys pending orders with volatility-adaptive SL/TP. Once in a trade, management is active: trailing stops, progressive partial closes, and a global equity take-profit keep risk contained. There is no martingale or grid.
🔑 Key Features
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- Linear Regression Edge — measures slope, intercept and residuals to locate statistically meaningful pullbacks/impulses.
- MTF Context Filter — RSI + momentum on a higher timeframe to avoid weak counter-trend signals.
- Gaussian Probability Gate — evaluates distance from the regression line in standard deviations and trades only when probability is sufficient.
- Pending Orders — Buy/Sell Stops placed in optimal zones; expire if not triggered within a set window.
- Active Management — side-specific trailing, partials at profit/loss thresholds, break-even logic, and equity target close.
- Operational Safety — spread cap, trading window (incl. Friday control), congestion/volume filter, cooldown between trades.
- Independent Buy/Sell Tuning — optimise the long and short sides separately (regression window, deviation gates, SL/TP, trailing). Often improves stability in biased markets.
🧠 Strategy Overview
The EA combines a classical linear regression model with a Gaussian probability component. Price must reach a statistically relevant area (measured in deviations), and the higher-timeframe filters must agree. Only then are pending orders placed. SL/TP scale with volatility (standard deviation), avoiding fixed levels that fail when the market regime shifts.
📸 Inputs Snapshot (Translated highlights)
We’ve included an explanation of the Inputs panel. Some parameters are in Spanish — here are the key ones translated and grouped:
- Display & Limits — Mostrar información en el gráfico (show on-chart info), Tamaño máximo/mínimo de lote (max/min lot).
- Regression & Filters — Umbral de correlación mínima/ máxima (min long / max short correlation), RSI inferior/superior (RSI gates), RSI secundario para filtro MTF (secondary RSI on HTF), Activar análisis de momentum MTF, Spread máximo aceptado.
- Buys (Ctrl Compras) — enable buys; Periodos para regresión lineal (bars for regression), AmpDesv (entry distance in deviations), StopLoss base + Multiplicador de desviación (volatility-adaptive SL), TakeProfit/Multiplicador, Trailing stop, Seguro (safety proximity to intercept).
- Sells (Ctrl Ventas) — mirrored controls for shorts with their own windows, deviation gates, SL/TP and trailing.
- Generics — Periodo mínimo de espera (cooldown), Multiplicador de lotes por riesgo (risk scaling), % de pérdida permitida para cierre parcial, Tope para probabilidad gaussiana, Probabilidad mínima aceptada, % balance para toma de ganancias total (equity TP), Multiplicador de volumen para congestión, MinModifyPips, Hora de inicio (servidor).
Tip: A powerful workflow is to run a shorter RangoTendencia with tighter AmpDesv on longs if the symbol trends up, while demanding stronger correlation and a wider deviation gate on shorts.
🛠️ Setup & Usage
- Start on M5 to gauge signal frequency and tune deviation/trailing steps.
- Use a VPS for consistent pending-order fills and trailing updates.
- Calibrate per symbol: regression window, correlation gates, deviation multipliers, and spread cap.
- Keep position sizing conservative until your forward test matches expectations.
🧭 What to Know Before Using
- Filter-first system: Some sessions will have no trades; that is by design.
- Volatility-aware risk: SL/TP and entry zones scale with standard deviation; SL hits can occur and are accounted for.
- Environment matters: Spreads, commission and latency affect results. ECN + VPS recommended.
- Always forward test: Backtests are indicative. Validate settings on your broker before scaling risk.
❓ Frequently Asked Questions
What is the minimum deposit required?
$200+ recommended (or equivalent). Begin with small risk while calibrating.
Does it use martingale or grid?
No. It uses pending orders, volatility-based SL/TP, trailing and partial closes.
Which symbols/timeframes work best?
Begin on M5. The engine is symbol-agnostic; calibrate regression/deviation inputs per instrument (majors, metals, indices).
Can I optimise buys and sells separately?
Yes. Long and short sides have independent windows, deviation gates, SL/TP multipliers and trailing.
Do I need a VPS?
Recommended for better execution quality and reliable trailing/partials.
⭐ Trader Reviews
André P. — “The separate long/short tuning is the killer feature. I tightened longs and made shorts stricter — equity curve smoothed out immediately.”
Lucy H. — “Pending orders + probability gate means far fewer random fills. It waits for proper context, then manages the trade for me.”
Ravi K. — “I like seeing correlation and RSI gates on-chart. Transparent enough to audit, but once set, it runs itself.”
Mateo G. — “Trailing and partials feel thoughtful — risk shrinks as soon as price moves. No martingale drama, ever.”
Olga S. — “Started on M5 with small size, then widened the regression on gold. Clean fills on VPS, and the Friday filter saved me twice.”
⚙️ Deployment Guidelines
- 🕒 Recommended Timeframe: M5 (expand after calibration)
- 💵 Minimum Capital: $200+
- 📉 Broker: ECN/low spread; variable spread aware
- 📶 VPS: Recommended
- 🛡️ Risk: Volatility-adaptive SL/TP, trailing, partials, equity TP; no martingale/grid
📦 What You Get
- ✔️ Official Nostradermus RegLin DEEP Time PRO EA for MT4
- ✔️ Example set files for M5 + notes for long/short tuning
- ✔️ Quick-start guide
- ✔️ Installation help and VPS recommendations
- ✔️ Free updates
📈 Proof of Results


Conclusion
Nostradermus RegLin DEEP Time PRO is a disciplined, regression-driven EA that treats context and risk management seriously. The combination of MTF filters, Gaussian probability gates, and active position control creates a practical framework you can audit, optimise, and scale — without resorting to martingale or grid.