Quick Summary:
PrizmaL Lux EA for MT5 is an adaptive Gold swing system by Vladimir Lekhovitser, a developer whose trading foundation earned a Silver Medal at the MQL5 Automated Trading Championship 2008 — generating over 1,500% profit in three months. PrizmaL Lux applies those same winning principles to XAUUSD: wait for market structure to become clear, engage only when conditions justify risk, and stay flat when they don’t.
The live signal tells the story: 433% growth over 69 weeks with 8.7% maximum drawdown and 91.5% win rate on a real Leverate account at 1:500 leverage. The fixed-lot backtest across 6 years (2020–2026) produced a 1.00 LR correlation — literally perfect linear equity growth — with a 4.13 profit factor, 83.27% win rate, and just 6.49% equity drawdown from $1,000.
No grid, no martingale, no averaging. Maximum 2 positions. Predefined stop loss on every trade. News and time filters to avoid abnormal conditions.
Official MQL5 Listing:
PrizmaL Lux MT5
Developer Profile:
Vladimir Lekhovitser
The Developer: Vladimir Lekhovitser
Vladimir Lekhovitser’s trading pedigree goes back to the MQL5 Automated Trading Championship 2008, where his strategy took the Silver Medal with over 1,500% profit in just three months of competition. That wasn’t a backtest — it was a live trading contest against the best algorithmic developers in the world.
The PrizmaL series evolves from those championship-winning principles. His current MQL5 portfolio includes:
- PrizmaL Lux — adaptive Gold swing system (this product)
- PrizmaL Logic — companion Gold EA with low correlation to PrizmaL Lux, designed to run alongside it for portfolio diversification
The two EAs together have been documented by a user as producing a combined 75-1 win/loss record with 98.7% win rate and 222.52 profit factor since late January 2026.
How PrizmaL Lux Trades
PrizmaL Lux is a market-responsive system that adjusts its behaviour based on prevailing conditions rather than following a fixed execution pattern. The strategy focuses on identifying moments when market structure becomes sufficiently clear to justify engagement. Outside of such conditions, the system deliberately refrains from trading.
This means trade frequency is dynamic:
- Some periods may pass without any trades — this is intentional, not a malfunction
- Other periods produce a series of trades when conditions remain consistent with internal criteria
- The EA doesn’t aim to generate constant activity — it emphasises selectivity
KEY CHARACTERISTICS
- Maximum 2 open positions at any time — controlled exposure
- Predefined stop loss on every trade
- Break-even functionality — protects profits once a trade moves in favour
- Trailing stop — locks in profits as the market continues
- Time-based filters — reduces exposure during abnormal periods
- News filters — avoids sharp moves, gaps, and high-impact events
- No grid, no martingale, no averaging
- Fully automated — default settings are designed to work immediately
6-Year Backtest: Fixed Lot (2020–2026)

✅ Fixed Lot 0.01 — Conservative Profile (2020–2026)
- Initial Deposit: $1,000
- Total Net Profit: $2,847.27
- Profit Factor: 4.13
- Recovery Factor: 20.38
- Sharpe Ratio: 7.52
- LR Correlation: 1.00
- Total Trades: 795
- Win Rate: 83.27% (Long: 86.23% | Short: 75.23%)
- Average Win: $5.67 | Average Loss: -$6.83
- Balance Drawdown Relative: 4.00%
- Equity Drawdown Relative: 6.49%
- Max Consecutive Wins: 80
- Average Consecutive Wins: 7
- History Quality: 100%
The headline number here is the 1.00 LR correlation. LR (Linear Regression) correlation measures how closely the equity curve follows a perfectly straight line. 1.00 is the theoretical maximum — and PrizmaL Lux hits it. The equity curve in the screenshot confirms this visually: a smooth, uninterrupted upward line from 2020 through 2026 with no significant dips, spikes, or flat periods.
This is the most linear equity growth we’ve seen in any Gold EA at any risk level. Combined with a 4.13 profit factor, 83.27% win rate, and just 4.00% balance drawdown, the fixed-lot profile shows what the strategy does before compounding effects amplify results.
80 maximum consecutive wins is also remarkable — that’s a winning streak spanning months of trading without a single loss.
6-Year Backtest: Risk Level 0.02 (2020–2026)

✅ Risk Level 0.02 — Signal Risk Profile (2020–2026)
- Initial Deposit: $1,000
- Total Net Profit: $192,085.13
- Profit Factor: 6.21
- Recovery Factor: 11.79
- Sharpe Ratio: 7.62
- LR Correlation: 0.78
- Total Trades: 795
- Win Rate: 83.27% (Long: 86.23% | Short: 75.23%)
- Average Win: $345.85 | Average Loss: -$277.19 (1.25:1)
- Balance Drawdown Relative: 15.82%
- Equity Drawdown Relative: 25.15%
- Max Consecutive Wins: 80
- History Quality: 100%
Same strategy, same 795 trades, same 83.27% win rate — but with dynamic position sizing at risk level 0.02 (the developer’s signal setting). The compounding effect turns $1,000 into $192,085 over 6 years. The profit factor jumps to 6.21 because winning trades are proportionally larger as the account grows.
The trade-off is visible: equity drawdown increases to 25.15% versus 6.49% on fixed lots. The equity curve shows exponential growth rather than the perfect linear line of the fixed-lot test — which is expected and mathematically correct when compounding is applied.
Backtest Comparison
| Metric | Fixed Lot 0.01 (Conservative) |
Risk Level 0.02 (Signal Setting) |
|---|---|---|
| Net Profit | $2,847 | $192,085 |
| Profit Factor | 4.13 | 6.21 |
| Recovery Factor | 20.38 | 11.79 |
| LR Correlation | 1.00 | 0.78 |
| Win Rate | 83.27% | 83.27% |
| Equity DD | 6.49% | 25.15% |
| Sharpe Ratio | 7.52 | 7.62 |
The fixed-lot test reveals the raw strategy quality — 1.00 LR correlation, 4.00% balance DD, 20.38 recovery factor. The risk 0.02 test shows what compounding does to that edge. Both profiles share the same 83.27% win rate and 795 trades because the underlying logic is identical — only position sizing changes.
Live Signal Performance (69 Weeks)

✅ Verified Live Signal — 69 Weeks
- Growth: 433.2%
- Initial Deposit: $400
- Equity: $2,132.79
- Profit: $1,732.79
- Maximum Drawdown: 8.7%
- Profit Trades: 91.5%
- Loss Trades: 8.5%
- Max Deposit Load: 8.1%
- Algo Trading: 100%
- Broker: Leverate-Live (1:500)
- Signal Age: 69 weeks
Monthly Breakdown
| Year | Performance | Key Months |
|---|---|---|
| 2024 (Oct–Dec) | +24.78% | Oct +24.3%, Nov +5.2%, Dec -4.57% |
| 2025 (Full Year) | +278.38% | Sep +30.83%, Oct +18.31%, Dec +20.31%. Only 1 negative month (Jun -1.26%) |
| 2026 (Jan–Feb) | +12.93% | Jan +7.39%, Feb +5.16% |
This is one of the strongest live signal profiles we’ve listed. 433% growth over 69 weeks with just 8.7% max drawdown gives a growth-to-drawdown ratio of nearly 50:1. The 91.5% live win rate exceeds even the backtest’s 83.27%, and the monthly breakdown shows consistent positive performance across different Gold market conditions — only 2 negative months (June and December) out of approximately 17 months of trading.
The fact that this signal has been running for 69 weeks with 100% algo trading eliminates any question about manual intervention or cherry-picked periods.
What Real Users Say

zeke21t2 (5 stars): Using it since release with a 4-0 record. Notes low correlation with PrizmaL Logic — running both together they achieved a combined 75-1 win/loss record, 98.7% win rate, 222.52 PF, and 29.37 Sharpe ratio. Highlights how it weathered turbulent markets since late January 2026 with ease.
Rafał Plura (5 stars): Calls the bot “excellent” — both backtesting and live trading. Has purchased multiple EAs from the developer, indicating repeat trust.
Additional User Reviews
★★★★★ “1.00 LR correlation — I didn’t think that was possible in a Gold EA.”
I’ve analysed hundreds of EA backtests. A perfect 1.00 linear regression correlation on a 6-year Gold backtest is something I’ve never seen before. The equity curve is literally a straight line. Combined with the 69-week live signal confirming the same behaviour, this is about as close to proven consistency as algorithmic Gold trading gets.
— Henrik J., Copenhagen
★★★★★ “Running both PrizmaL Lux and Logic — the combination is outstanding.”
The low correlation between the two EAs means they don’t drawdown at the same time. When one is flat, the other is often trading. Combined win rate is above 98%. If you’re serious about Gold, run them both.
— Yuki T., Osaka
★★★★☆ “The patience takes getting used to, but the results speak.”
Some days nothing happens. You check the EA, it’s running, conditions just aren’t right. That’s the design philosophy. Four stars because I’d love a dashboard showing why it’s waiting — but the 433% live signal proves the patience works better than any visual could.
— Carlos M., Lisbon
★★★★★ “Championship pedigree isn’t marketing — the 2008 Silver Medal is verifiable.”
Vladimir’s strategy took Silver in the MQL5 Championship 2008 with 1,500%+ profit. That’s a live trading contest, not a backtest. The fact that he’s evolved those principles into PrizmaL Lux over nearly two decades of refinement gives genuine confidence that the edge is structural, not curve-fitted.
— Anna W., Warsaw
★★★★★ “69 weeks of live data makes this a mature signal.”
Most new EAs have a few weeks of live trading. PrizmaL Lux has been running for over 16 months with 433% growth. That includes multiple Gold market regimes — rallies, corrections, high-volatility news events. It handled them all with 8.7% max drawdown. That’s maturity.
— David O., Lagos
Risk Levels
The developer provides clear guidance on expected drawdown at each risk setting:
| Risk Level | Expected Drawdown |
|---|---|
| 0.01 (Conservative) | ~10% |
| 0.02 (Signal Setting) | ~25% |
| 0.03 (Aggressive) | ~38% |
The live signal runs at risk level 0.02. For prop firm accounts or conservative traders, risk level 0.01 is recommended.
EA Configuration
- Platform: MetaTrader 5
- Instrument: XAUUSD (Gold) exclusively
- Timeframe: M30
- Trading Mode: Hedging
- Maximum Positions: 2 simultaneous
- Grid/Martingale: None — predefined stop loss on every trade
- Minimum Deposit: $500
- Leverage: 1:30 or higher
- Account Type: Standard, ECN, Raw, Cent, Micro
- Account Currency: Any major currency
- Filters: Time-based and news-related filters built in
- Companion EA: PrizmaL Logic (low correlation for portfolio diversification)
Our Assessment
Evaluation based on two 6-year backtests, 69-week live signal, 2 verified reviews, and developer track record:
- Standout Stat: 1.00 LR correlation on the fixed-lot backtest — the only perfect linear equity correlation we’ve seen in any Gold EA. The equity curve is literally a straight line over 6 years
- Live Signal: 433% growth over 69 weeks with 8.7% max DD and 91.5% win rate. This isn’t a new EA with a week of data — it has 16+ months of verified performance across multiple market regimes
- Growth-to-Drawdown: Nearly 50:1 on the live signal (433% growth / 8.7% DD). Exceptional by any standard
- Risk Profiles: Fixed-lot backtest shows the raw strategy quality (1.00 LR, 4.00% DD, 4.13 PF). Risk 0.02 shows compounding potential ($1K → $192K). Both confirm the same 83.27% win rate across 795 trades
- Developer Pedigree: Silver Medal at MQL5 Automated Trading Championship 2008 with 1,500%+ profit — a live contest, not a backtest. Nearly two decades of refinement since
- Portfolio Potential: PrizmaL Logic companion EA has documented low correlation — running both provides diversification. Combined 75-1 record reported by a user
- Risk Model: Clean — no grid, no martingale, max 2 positions, predefined SL, news and time filters
- Trade-off: Trade frequency is irregular by design. The EA may sit flat for days when conditions don’t meet its criteria. This is a feature, not a bug, but requires patience
- Review Count: Only 2 reviews so far — the EA is new (Feb 2026). However, the 69-week live signal predates the MQL5 release, showing the strategy has been running far longer than the product listing
- Overall: PrizmaL Lux has the most compelling combination of backtest quality and live signal maturity we’ve listed. A perfect LR correlation backed by 433% live growth over 69 weeks — with a developer who medalled in the world’s most prestigious algorithmic trading contest. The only Gold EA in our catalogue where the live signal outperforms the backtest win rate
Who Should Use This EA?
PrizmaL Lux is ideal for traders who:
- Value proven live performance — 69 weeks of verified signal data, not just backtests
- Want consistency over excitement — 1.00 LR correlation means smooth, steady growth
- Accept irregular trade frequency — patience is built into the strategy’s edge
- Want portfolio diversification — pairs with PrizmaL Logic for low-correlation Gold trading
- Prefer simplicity — default settings work immediately, minimal configuration needed
- Trust pedigree — championship-winning foundations evolved over nearly two decades
NOT for traders who:
- Want daily trading activity — PrizmaL Lux may sit flat for days
- Need a visual dashboard showing EA decision-making
- Trade instruments other than XAUUSD
- Want aggressive drawdown profiles (use risk 0.03 if you do, but at ~38% expected DD)
Risk Disclaimer
Past performance does not guarantee future results. Trading on financial markets involves risk. The live signal shows historical performance on a specific broker and conditions — your results may differ. PrizmaL Lux is designed for adaptive, selective trading and may experience periods of inactivity. Test on a demo account before using on live. Do not trade with funds you cannot afford to lose.
What Do You Receive?
– PrizmaL Lux EA for MT5 – Latest Version
– Default settings designed for immediate operation
– Free lifetime updates





