MYFXBOOK LIVE TRACKING · EXNESS · JULY 2026

FALLINGBUCKS GOLD EA · CURRENT BUILD V12.17

Automated Gold Trading EA for MetaTrader 4

A three-engine grid and hedging system for XAUUSD with ATR-adaptive and banded spacing, tier-based position sizing, hard exposure caps, and high-impact news filtering. Documented broker-statement results with independent Myfxbook tracking below. Trading involves substantial risk, and past performance does not guarantee future results.

+70.84%Net gain · statement period
1,626Closed Trades
1.75Profit Factor
62.7%Win Rate
17,938 Statement ending balance · Jul 7 → Jul 29, 2026

Statement-snapshot visualization · 1,626 closed trades · 10,500 USC deposit · zero withdrawals · Exness Standard Cent account. Daily percentages are rounded; the displayed ending balance and summary figures come from the statement.

Broker statement · not a backtest

Statement snapshot — July 7–29, 2026

The fixed statement snapshot below covers July 7–29, 2026. The linked Myfxbook account continues to update, so its current figures may be newer than this page. Figures below are in USC (US cents — Standard Cent account). Historical results are not a forecast.

10,500 USCStarting balance
+7,438.16Net profit (USC)
17,938.16 USCEnding balance
+70.84%Net return
18.21%Max balance drawdown
~49%Max floating (equity) DD — Jul 8 session
Standard CentAccount type (Exness, USC)
$100 minRecommended balance ($100–$1,000)

← Swipe to view the full table →

DateTradesDaily P/L %Momentum
+9.55%Best day (Jul 8)
62.7%Trades won (1,020 / 1,626)
1.75Profit factor
18.21%Max balance drawdown

Statement details: Gross profit 17,291.12 · Gross loss 9,852.96 · Net +7,438.16 · Expected payoff +4.57/trade · Longs won 62.52% · Shorts won 62.94% · Largest win 1,457.05

Independent verification

Don't trust our screenshots — check Myfxbook

The account behind this snapshot is linked to Myfxbook, a third-party analytics platform. Open the public page to check the latest visible balance, equity, drawdown and trade statistics directly. Public visibility and verification indicators should always be checked on Myfxbook itself.

Snapshot figures on this page end July 29, 2026. Myfxbook is live and may display newer values.

FallingBucks · Exness Real Gold EA

READ-ONLY BROKER CONNECTIONAUTO-UPDATEDEQUITY + BALANCE CURVES

Open the live tracking page and inspect everything yourself: balance and equity curves side by side, floating drawdown, monthly returns, win rate, and the complete trade history — updated automatically from the broker.

View Live Account on Myfxbook →

Tip: confirm the current Track Record and Trading Privileges indicators directly on the Myfxbook page before relying on any published figures.

  • 🔗Direct broker connection. Myfxbook pulls data through read-only investor access or the MT4 publisher — straight from the broker's trade server, not from screenshots or self-reported numbers.
  • 🔒Tamper-proof history. The account owner cannot edit, delete, backdate, or fabricate trades on a connected account. What you see is what the broker recorded.
  • 🏅Verification badges. "Track Record Verified" confirms the full history is present from account opening; "Trading Privileges Verified" proves the account is genuinely operated by its owner.
  • 📉Shows the uncomfortable numbers too. Myfxbook displays floating drawdown, equity dips, and losing periods — the metrics a grid strategy seller could otherwise hide.
  • 🕐Trusted industry standard. Operating since 2009 and used by millions of traders, prop firms, and signal marketplaces as the default independent proof of performance.
The architecture

Three independent engines for one trading symbol

FallingBucks Gold EA uses three independently identified engines, each with its own state and recovery logic. Independence helps separate basket management, but it does not remove the possibility of simultaneous losses or substantial drawdown.

Engine A — Core Grid

A dual-basket grid that can manage buy and sell cycles at the same time. It is designed for different market conditions, but performance can vary materially during trends, gaps and spread expansion.

INDEPENDENT MAGIC № · OWN STATE FILE

Engine B — Momentum Layer

Uses a separate spacing and take-profit profile for faster intraday movement. Higher trading frequency can increase costs and exposure, so this engine remains subject to the configured limits.

INDEPENDENT MAGIC № · OWN STATE FILE

Engine C — Hedge Guard

Can add opposing exposure when configured basket conditions are met. This may reduce directional imbalance in some conditions, but hedging can also increase costs and cannot guarantee lower drawdown.

INDEPENDENT MAGIC № · OWN STATE FILE
Fresh from the workshop

New in V12.14 → V12.17: expanded exposure controls

Four recent upgrades focus on configurable exposure limits and grid spacing. These controls can restrict new orders, but they cannot eliminate trading risk.

NEW
V12.14

Gross Exposure Cap

A configurable ceiling (MaxTotalLots) on combined open volume across the three engines. When the limit is reached, the software blocks qualifying new orders until volume falls below the cap. It is a control mechanism, not protection against all losses.

NEW
V12.15

Banded Grid Spacing

Grid gaps are no longer one uniform step. Each grid depth gets its own band multiplier — tighter gaps near the anchor, progressively wider gaps as a basket deepens — so deep levels demand a real move before committing more volume.

NEW
V12.16

Unified Per-Engine Settings

One clean setting per engine now drives both its Buy and Sell baskets — lot multiplier, gap mode, grid step, and max trades. Fewer duplicated inputs can reduce configuration complexity while the baskets remain independently identified underneath.

NEW
V12.17

Per-Side Exposure Caps

Separate ceilings for Buy and Sell volume (MaxTotalLotsBuy / Sell), checked on top of the gross cap. Every new order must pass every enabled cap — run gross-only, per-side-only, or all three together.

1.08 / 1.50
0.44 / 0.80
0.64 / 0.80
Inside V12.17

Built by a gold trader, for gold traders

The feature set has been developed through multiple versions and live-account testing. Availability and behaviour depend on the selected settings, broker conditions and deployed licensing infrastructure.

ATR-Adaptive Grid Spacing

Grid gaps size themselves from live ATR — tight spacing in quiet markets, wide spacing when gold runs. No more one-size-fits-all pip gaps.

Tier-Based Position Sizing

Position sizing adjusts automatically according to configured balance tiers. As the account grows, lot sizes step up through the tiers you define.

Forex Factory News Filter

Pulls the live FF calendar via WebRequest and stands down around high-impact releases like NFP, CPI, and FOMC — the events that blow up grid systems.

Multiple Take-Profit Modes

Per-basket TP, money-based TP, and a configurable daily target mode can stop new activity after the selected condition is reached. Outcomes still depend on open positions and market execution.

Persistent State Recovery

Each engine can persist key state information to support recovery after a terminal or VPS restart. Recovery should still be tested on a demo or cent account before live use.

Licensed & Account-Bound

Account-bound licensing is designed to help validate authorised installations. Activation depends on the licensing backend being available and correctly configured.

Execution Optimized

Lean tick processing and reduced order operations are intended to support higher-activity sessions. Actual execution depends on the VPS, terminal, broker and market conditions.

Live Status Panel

On-chart dashboard shows each engine's basket, floating P/L, next grid levels, and daily progress — you always know exactly what the EA is doing.

Built for Continuous VPS Operation

Designed for automated execution on a Windows RDP/VPS with configurable risk controls. Periodic monitoring is still recommended. Full setup guide included below.

Why traders buy it

Automated execution with configurable risk controls

  • Documented resultsPerformance is documented through a broker statement and independent Myfxbook tracking you can inspect trade-by-trade — 1,626 real fills, not a curve-fitted backtest.
  • Engineered for classic grid risk factorsHedge engine, news filter, exposure caps, and ATR/banded spacing address the three main grid risk factors: runaway trends, news spikes, and fixed gaps.
  • Start small, scale upSupports cent-account testing like the statement account shown. Start with the lowest supported risk tier, test thoroughly, and use only funds you can afford to lose.
  • Active development, real supportV12.17 is the product of 12+ major versions of live iteration. You get updates and direct developer support, not an abandoned marketplace file.
XAU 999.9
Pricing

One payment. Yours forever.

LAUNCH OFFER — LIMITED AVAILABILITY
$100
$90
one-time · lifetime licence · FallingBucks Gold EA (Build V12.17)
SAVE $10 — EARLY BIRD OFFER
  • FallingBucks Gold EA — Build V12.17 (compiled .ex4)
  • All three engines & every feature unlocked
  • New V12.14–V12.17 risk-cap & banded-grid features
  • Recommended set file for XAUUSD
  • Free updates for the V12 series
  • Step-by-step RDP/VPS setup guide
  • Direct developer support
Request Early Bird Access — $90

Early-bird price applies to the first buyers only, then the price returns to $100. Submit a purchase request through the Purchase & Licence Desk. Pay only after receiving official instructions from support@fallingbucks.com, and review the refund policy first.

  1. Review the Risk Disclosure, Terms and Refund Policy.
  2. Send a purchase request through the Purchase & Licence Desk. The page stores no passwords or payment files.
  3. Support confirms compatibility, licence-account count and the official payment instructions.
  4. Verify the full wallet address and network independently before sending cryptocurrency.
  5. After payment confirmation, support requests only the account IDs needed for licence binding—never broker passwords or private keys.
  6. Receive the authorised build, set file and installation instructions, or arrange setup through an agreed secure-access method.
  7. Confirmation and support come from support@fallingbucks.com.
Your roadmap

Get started in 4 steps

The purchase process includes installation guidance. Optional setup assistance should use a secure credential-sharing method agreed directly with support.

STEP 01 · BROKER

Register with Exness

The statement account uses Exness Standard Cent. Use the link only after confirming the broker is available and appropriate in your country. This is an affiliate link and does not change your trading risk.

Register at Exness →
STEP 02 · VPS

Get your ForexVPS 20% OFF → $32/mo

Order the 3-Core plan at ForexVPS (normal $40, discounted $32/month). After purchase, support can provide secure setup instructions. Never send broker passwords, investor passwords, API keys or VPS credentials through an unsecured webpage or ordinary email.

Get ForexVPS →
STEP 03 · ACCOUNT

Create a USCent account

If you use the reference configuration, open an eligible Standard Cent account and begin with the lowest supported testing tier. Confirm the exact account ID and symbol with support only after your purchase request; never send the account password.

STEP 04 · RULES

Balance & withdrawal discipline

The developer currently recommends keeping each licensed account within the supported balance range for this build. Choose your own withdrawal and risk plan; no withdrawal schedule can prevent losses or make the strategy safe.

Why Exness Standard Cent

Reference broker configuration used for the snapshot

Balances in US Cents (USC)$1 = 100 USC, so a $250 deposit displays as 25,000 USC. This is the account denomination used in the July 7–29 statement snapshot; cent denomination does not make trading low risk.
Tiny minimum depositStart from as little as $10 by most payment methods — our recommended $100–$250 starting range is easy to fund.
Withdrawal availability variesWithdrawal speed, methods and limits vary by region, payment method and broker review. Confirm current terms directly with the broker.
Leverage requires cautionThe statement account shows 1:2000 leverage. High leverage materially increases loss exposure and is not a safety feature. Use only settings you understand.
XAUUSDc gold tradingTrades the cent version of gold with the same market pricing — the exact symbol shown in the verified statement on this page.
Execution conditions varySpread, slippage, swaps, execution and symbol specifications vary by account, region and market conditions. Results from one account may not transfer to another.

Broker features are provided by Exness and subject to their current terms, your region, and account eligibility — verify details on the Exness website when registering.

Testing and balance guidance

Supported balance tiers — without profit projections

The table below describes the developer's current operating range for Build V12.17. It does not predict profit, safety or drawdown. Begin on demo or the lowest supported cent-account tier and review equity drawdown, margin usage, spreads and open-basket exposure before increasing capital.

Account balanceSuggested useRisk note

How to use these tiers

Test the exact broker symbol, account type, spread, leverage and set file you intend to use. A profitable statement period does not establish a safe deposit level.

Review both balance drawdown and equity drawdown. Grid and hedging systems can hold significant floating losses even while closed-trade results remain positive.

Do not assume returns increase proportionally with account size. Larger lots can increase loss speed, margin pressure and recovery time.

NO EARNINGS ARE PROMISED. You can lose the entire account balance.

After purchase

Install on a Windows VPS or RDP

FallingBucks Gold EA is designed for continuous Windows VPS operation, but daily monitoring and clear emergency procedures are still recommended.

Connect to your RDP / VPS

Open Remote Desktop Connection on your PC (press Win + R, type mstsc, hit Enter). Enter the IP address, username, and password from your VPS provider and connect.

Tip: Choose a reliable VPS reasonably close to your broker server and test latency, uptime and terminal stability before live use.

Install MetaTrader 4 & log in

Download MT4 from your broker's website, install it on the RDP, and log in with your live or cent account credentials. Confirm the connection bars at the bottom-right are green.

Copy the EA into MT4

In MT4 go to File → Open Data Folder, then open MQL4 → Experts. Paste Grid_New_V12.17.ex4 into this folder. Back in MT4, right-click Expert Advisors in the Navigator and hit Refresh.

Enable Auto Trading & WebRequest

Open Tools → Options → Expert Advisors. Tick Allow automated trading and Allow WebRequest for listed URL, then add the licensing server URL and https://nfs.faireconomy.media (Forex Factory calendar) to the URL list. Click OK.

Important: Without the WebRequest URLs, the license check and the news filter cannot work.

Attach to a XAUUSD chart

Open a XAUUSD (Gold) M5 chart. Drag Grid_New_V12.17 from the Navigator onto the chart. In the popup, go to the Common tab and tick Allow live trading.

Load the set file & verify license

In the Inputs tab, click Load and select the included recommended .set file. Click OK. The EA validates your license against your account number — the status panel will show LICENSED ✓ once verified.

Confirm it is running

Check that the AutoTrading button in the toolbar is green and the EA shows a smiley 🙂 in the chart's top-right corner. The live panel will display all three engines' status. Close the RDP window — do not shut down the VPS. The EA can continue running after the RDP window is closed, but the account and VPS should be checked at least daily.

Operating rule: Do not run conflicting copies or change trades without understanding the basket logic. In an emergency, protecting capital takes priority; follow the documented shutdown procedure and contact support.