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This page is AMIMIFX Dashboard Voice EA

AMIMIFX Dashboard Voice EA

v10.30 multi-asset command board. CONF and CONFL now sit together on both the main grid and the Focus Panel so quality and agreement are read in one glance before FLOW and the rest of the plan.
v10.30

Layout pass — CONF then CONFL

September 19, 2026
  • Main grid 0–7 — SYMBOL → CONF → CONFL → FLOW → S/D → OVERALL → ↕ → AVG. FLOW still has the wide slot for STRONG SELL FLOW.
  • Focus Panel — TYPE → SYMBOL → CONF → CONFL → DETECTED TIME → RECOMMENDATION … then prices, margin, swaps, divergence, YT. CONFL is no longer at the far right.
  • Why — confidence is “how good is this idea”; confluence is “how many timeframes agree.” Reading them side by side is the intended scan path.

What changed in v10.30

September 17, 2026
  • Visible toolbar — SOUND, YT POPUPS, SIGNAL YT, DAILY YT, OPEN P/L YT, AUTO, MATRIX sit top-left with high z-order.
  • On-chart profit inputs — Daily % and Open $ edit boxes. Type a value, click off the box to save.
  • PROFIT ALERT master toggle — arms or mutes daily % and floating-$ alerts without opening Inputs.
  • Separate Daily YT video — DailyProfitYouTubeURL + DAILY YT button. Open-profit video stays on OpenProfitYouTubeURL.
  • Wider packed columns — FLOW, S/D, OVERALL, TREND, Focus Panel TYPE and RECOMMENDATION no longer overlap.
  • Version stamp — property, title, summary line, and Experts log say 10.30.

Carried from v10.29 (layout & workflow pass)

September 17, 2026
  • Row order follows DashboardSymbols — host chart is not forced to row 1.
  • SWAP L / SWAP S on the main grid.
  • Videos off by default — arm them from the toolbar.
  • Open-position profit alert — floating P/L (profit + swap) vs dollar target.
  • Click a pair to open its chart on SignalTF.
  • Panel background tracks last column (HOURS ET).

Overview & core capabilities

AMIMIFX v10.30 is a multi-asset dashboard, setup scanner, margin safety planner, and optional automated execution engine for MetaTrader 5. It scores up to 30 symbols on H4, H1, M15, and M5, then isolates high-probability reversals and continuations into the Focus Panel.

  • Quality pair first — CONF (setup quality) sits next to CONFL (timeframe agreement) on both tables.
  • Left-edge control strip — sound, four YouTube arms, auto, matrix, profit-alert.
  • Stable watchlist order — exact DashboardSymbols order.
  • Focus Panel — reversal / continuation rows with margin, swaps, optional Signals YouTube.
  • Click-to-chart and two profit targets (daily % and open $), each with its own video.
  • Margin depletion, stop-out projection, RSI divergence, vol-regime gate.

Interactive control center & toggles

Green = on, maroon = off. Video buttons start off. After compile, remove and re-attach so objects rebuild on top of the panel.

Row 1 — v10.30 toolbar (top left) SOUND ON YT POPUPS OFF SIGNAL YT OFF DAILY YT OFF OPEN P/L YT OFF AUTO OFF MATRIX OFF
Row 2 — profit alert + live editors PROFIT ALERT ON Daily % [2.00] Open $ [100.00]
  • [ SOUND ON / MUTE ]Master audio.
  • [ YT POPUPS ]Master browser switch for non-forced videos.
  • [ SIGNAL YT ]Opens HighProbYouTubeURL on a new Focus Panel setup.
  • [ DAILY YT ]Opens DailyProfitYouTubeURL when Daily % hits.
  • [ OPEN P/L YT ]Opens OpenProfitYouTubeURL when Open $ hits. Can force-open.
  • [ AUTO ]Live orders. Still gated by session, news, risk, lots.
  • [ MATRIX ]Correlation matrix. Rebuilds the panel.
  • [ PROFIT ALERT ]Master switch for both profit alerts.
  • Daily % / Open $ boxesClick off the box to save. Lasts until re-attach.

Complete column header reference

3.1 Main Multi-TF dashboard columns (39)

Scan left to right: name, quality, agreement, then direction. FLOW keeps extra width. Panel width still tracks HOURS ET.

ColumnDescription & calculation logic
SYMBOLTicker (* = crypto). Click row to open chart. Order = DashboardSymbols.
CONFComposite confidence (~15%–95%). Mix of TF consensus, weighted-score strength, and S/D alignment, minus a reversal-risk penalty.
CONFLPERFECT (≥90%), STRONG (≥75%), GOOD (≥60%), WEAK. Share of the four TFs that agree with the overall bias.
FLOWSTRONG BUY FLOW … STRONG SELL FLOW from the weighted multi-TF score. Wide column.
S/DM15 zone class: ATR DEMAND / DEMAND SIDE / MID-ZONE / SUPPLY SIDE / ATR SUPPLY.
OVERALLLOOK FOR BUYS, LOOK FOR SELLS, or WAIT. Forced to WAIT if session, news, liquidity, vol gate, pause, or min-confidence fails.
↕Composite arrow from display bias (or flow if overall is WAIT).
AVGSigned weighted total used to classify FLOW.
ST H4…M5 / ST COMBOStochastic 15,5,15 per TF plus OB/OS consensus.
DIVERGENCEBULL DIV, BEAR DIV, NONE on M15 RSI vs price swings.
FIB61…161Swing Fib levels; bold when price is within FibProximityATR.
TREND / REV%Trend intact vs high reversal risk. REV% feeds the confidence penalty.
PRICE…TARGETMid, entry, ATR stop (2.0×), ATR/Fib target (3.5×).
RISK% / VOL / LOTSRisk input, regime / volume text, sized lots.
TIME / SWAP L / SWAP SStamp and overnight swap at BrokerInfoLotSize.
MARGIN / MAX LOT / LIVE EQ / HOURS ETDepletion model and Eastern session window.

3.2 High-Probability Focus Panel columns (22)

Same quality pair as the main grid: CONF then CONFL, then the clock and the recommendation.

ColumnDescription & routing logic
TYPEREVERSAL or CONTINUATION.
SYMBOLTicker. Click to open SignalTF.
CONFSame confidence number as the main row.
CONFLSame PERFECT / STRONG / GOOD / WEAK label. Continuation rows require STRONG or PERFECT.
DETECTED TIME / RECOMMENDATIONStamp; COUNTER BUY/SELL or LOOK FOR BUYS/SELLS.
ENTRY / STOP / TARGET / PIPSPlan prices, EST PIPS, PIPS LEFT.
LOTS / PROFIT ($)Sized lots and remaining dollar distance to target.
MIN / MAX / USABLE MARGIN0.01 vs suggested vs depletion cap vs live free margin.
STOP OUT LOSS / 50% STOPOUT PRICESL dollar risk and projected liquidation price.
SWAP LONG / SHORTCarry at sample lot.
DIVERGENCE / YTRSI swing state; Signals YT armed ON/OFF.

How the scoring logic works

Every refresh builds one TradePlan per symbol. The left-hand pair — CONF and CONFL — is the short version of that plan. Everything after it is supporting evidence or risk plumbing.

  1. 1. Score each timeframe. On H4, H1, M15, and M5 the EA adds points for fast EMA above slow EMA (+3 / −3), close vs fast EMA (+2 / −2), RSI vs 55/45 (+1 / −1), and momentum vs 100 (+1 / −1). Range is roughly −7 to +7 per TF.
  2. 2. Weight the four scores. Base weights are 2.5 / 2.0 / 1.0 / 0.5. Dynamic mode scales each TF by how clean its trend, score, and RSI are, then optionally by session (Asia favors H4; London/NY lift M15/M5). The sum is AVG and also FLOW: ≥9.5 strong buy, ≥4.5 buy, ≤−4.5 sell, ≤−9.5 strong sell.
  3. 3. Propose an overall bias. Weighted total ≥6.8 = buy, ≤−6.8 = sell. If RequireH4H1Alignment is on and H4 disagrees with H1, bias becomes WAIT.
  4. 4. Count confluence. CONFL is simply how many of the four TF scores have the same sign as that bias. 4/4 = 100% PERFECT, 3/4 = 75% STRONG, 2/4 = 50% WEAK. If FavorDecisiveSetups is on and fewer than MinConfluentTFs (default 3) agree, overall is forced to WAIT.
  5. 5. Blend confidence. CONF ≈ 45% TF consensus + 38% strength of the weighted total + 17% S/D alignment with the bias. A STRONG/PERFECT confluence can add up to ConfluenceBonusPct (12%). Reversal risk above 40% then subtracts up to MaxConfidencePenaltyPct (25%). Result is clamped 15–95.
  6. 6. Apply hard gates. Bias is cleared to WAIT if CONF < MinConfidenceForSignal (65), reversal risk ≥ ReversalRiskToPause (65), news block, bad liquidity, session closed, vol-regime fail, or daily pause. The OVERALL text still shows the pre-gate lean so you can see what was blocked.

CONF vs CONFL — read them as a pair

CONFL answers “do the clocks agree?” It is a raw count. CONF answers “is this worth acting on?” It folds strength, zone alignment, and reversal danger on top of that count.

High CONF + WEAK CONFL usually means one loud TF with the others mixed — treat as noise. High CONFL + low CONF usually means agreement in a stretched or opposing zone — wait for the reversal penalty to fade. The Focus Panel only promotes rows that pass both tests in the directions below.

Focus Panel promotion rules

CONTINUATION — CONF ≥ 75, CONFL is STRONG or PERFECT, reversal risk < 40%. Recommendation copies OVERALL (LOOK FOR BUYS / SELLS).

REVERSAL — reversal risk ≥ 65% or RSI divergence is live, and CONF ≥ 60%. Recommendation is COUNTER SELL if bearish divergence or buy-flow stretch; otherwise COUNTER BUY.

Margin depletion, min margin & stop-out mechanics

Unchanged from 10.28/10.29. Focus Panel shows minimum margin and swaps. Main grid repeats SWAP L / SWAP S.

FIG 5.1 — 50% BROKER STOPOUT PRICE

Entry Stop (2.0 ATR) 50% Stop Out

FIG 5.2 — EQUITY ALLOCATION

Max usable = Equity × MarginMaxToDepletePct
Max lots = (Max usable / margin per 0.01) × 0.01
Min margin = OrderCalcMargin(suggested lots)
Allowed loss = Equity − (Used margin × StopOut%)

How the Focus Panel works

  • Reversal — reversal risk ≥ 65% or RSI divergence, and confidence ≥ 60%.
  • Continuation — confidence ≥ 75%, confluence STRONG/PERFECT, reversal risk < 40%.

1. Find a live row. 2. Read CONF then CONFL. 3. Click the symbol to open SignalTF. 4. Check recommendation and divergence. 5. Check MIN MARGIN REQ and swap. 6. Place ENTRY / STOP / TARGET. 7. Confirm 50% STOPOUT PRICE is beyond your stop.

AUTO still gates on session, news, liquidity, vol-regime, daily loss, drawdown, max trades. Trailing uses TrailingStopATR while AUTO is on.

Click a pair to open its chart

Main-grid row or Focus Panel SYMBOL calls ChartOpen(symbol, SignalTF). Crypto asterisk is stripped. Falls back to the current period if that open fails.

Profit alerts — daily % and open $

Daily equity %

Equity vs start-of-day balance. Hits when day P/L % ≥ the Daily % box (ProfitTargetPercent). Can auto-close this magic and pause entries. Video: DailyProfitYouTubeURL via DAILY YT.

Open-position floating $

Sum of position profit + swap. Hits when ≥ the Open $ box (OpenPositionsProfitUSD). Video: OpenProfitYouTubeURL via OPEN P/L YT (can force-open). Cooldown: OpenProfitAlertCooldownMin.

RSI divergence engine

M15 swings inside DivLookbackBars vs RSI(14). Price higher high + RSI lower high = BEAR DIV. Price lower low + RSI higher low = BULL DIV.

Volatility regime gate

Asset classATR percentileExpansionMax spread / ATR
FX Majors20–90%0.75–1.60≤ 0.12
Metals15–92%0.70–1.80≤ 0.08
Indices15–93%0.70–1.85≤ 0.08
Oil15–92%0.70–1.90≤ 0.10
Crypto10–95%0.65–2.20≤ 0.20

Recommended default settings

ParameterValueRole
DashboardSymbolsyour listRow order
BrokerInfoLotSize0.01Swap / min-margin sample
StopOutPercent50%Stop-out projection
MarginMaxToDepletePct80%Equity cap for margin
ProfitTargetPercent2.0Seeds Daily % box
OpenPositionsProfitUSD100Seeds Open $ box
DailyProfitYouTubeURLyour clipDAILY YT
OpenProfitYouTubeURLyour clipOPEN P/L YT
HighProbYouTubeURLyour clipSIGNAL YT
MinConfidenceForSignal65CONF floor for OVERALL ≠ WAIT
MinConfluentTFs3CONFL floor when FavorDecisiveSetups is on
RiskPerTradePercent0.50%Lot math
Max_Leverage_Allowed5.0Soft cap vs 200x
EnableAutoTradingfalseSeeds AUTO

Troubleshooting

  • CONFL still after AVG / at the far right of Focus — old objects. Remove the EA and attach this build so headers rebuild.
  • No SOUND / YT buttons — still on 10.29 objects. Remove EA, attach v10.30.
  • Clicks do nothing — another panel is covering the toolbar, or objects were not rebuilt.
  • Edit box ignored — click off the box so ENDEDIT fires.
  • Wrong Daily vs Open video — different inputs and different buttons.
  • YouTube never opens — Allow DLL imports; arm the matching YT button.
  • FLOW / TYPE overlap — confirm this column map and reattach.
  • Wrong pair on row 1 — list order only; host chart is not prepended.
  • No sound — SOUND MUTE is on.

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Editable source for the agreed current version and a personal-use licence, where LPS has the right to deliver it. No recurring strategy licence fee under the agreed licence.

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These are invoice requests, not active checkout offers. Listed monthly figures are planning bases until the product and delivery route are approved. OWN IT means a software use licence, not ownership of LPS intellectual property or exclusive rights. Unlocked source does not grant resale, redistribution, sublicensing or copyright transfer. Account/device limits, delivery, future updates, support, taxes and refund terms must be stated in the invoice/licence. Existing subscription payments are not automatically credited. No profit is promised.

Pine delivery review: TradingView Marketplace manages paid invite-only access. An LPS invoice does not bypass those rules or grant permanent TradingView access. One-time/source delivery is quoted only after confirming platform rules and source rights. MT5 one-time licensing also requires a compatible perpetual licence implementation before delivery.

Platform / strategyMonthly pricing base USDOWN IT · 10× · USDUnlocked code · 20× total · USD
Pine — NQ 30m Gamma Flip (nq-core)$5,000.00$50,000.00
$100,000.00
Pine — NQ 30m Gamma Flip (nq-one)$2,500.00$25,000.00
$50,000.00
Pine — NQ 15m Gamma Flip (nq15)$2,250.00$22,500.00
$45,000.00
Pine — NQ 5m Gamma Flip (nq5)$1,750.00$17,500.00
$35,000.00
Pine — MNQ 5m Slow SAR (mnq-sar)$1,500.00$15,000.00
$30,000.00
Pine — US30 5m Slow SAR + MACD (us30-sar)$500.00$5,000.00
$10,000.00
Pine — SUI 4h Slow SAR (sui-sar)$350.00$3,500.00
$7,000.00
Pine — SUI 4h SAR + STC (sui-stc)$300.00$3,000.00
$6,000.00
Pine — SUI 4h SAR + MACD (sui-macd)$275.00$2,750.00
$5,500.00
Pine — SUI 4h SAR + STC + MACD (sui-both)$325.00$3,250.00
$6,500.00
Pine — MNQ 30m CVD ADX20 (mnq-cvd)$250.00$2,500.00
$5,000.00
MT5 — Nasdaq Gamma/Core$5,000.00$50,000.00
$100,000.00
MT5 — Nasdaq Slow SAR$1,500.00$15,000.00
$30,000.00
MT5 — US30 SAR + MACD$500.00$5,000.00
$10,000.00
MT5 — SUI SAR$350.00$3,500.00
$7,000.00
MT5 — SUI SAR + STC$300.00$3,000.00
$6,000.00
MT5 — SUI SAR + MACD$275.00$2,750.00
$5,500.00
MT5 — SUI SAR + STC + MACD$325.00$3,250.00
$6,500.00
MT5 — Nasdaq CVD Pressure + ADX$250.00$2,500.00
$5,000.00

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Questions: team@lpslama.com. Source delivery is subject to ownership/licence review. Market/data/platform services and brokerage fees remain separate. Research and live trading risks remain unchanged.

Account, lots and margin calculator

Historical scaling illustration — not an earnings forecast or a new backtest. USD account and USD contract values only. One alternative per exposure family across both platforms. Blue = Nasdaq; purple = US30; teal = SUI. Colors identify exposure, not safety.

Recorded net already includes the costs used in its test. Inputs above add cost stress; do not enter the same included fees twice. SUI Pine financing was excluded. Broker levels must use Equity ÷ Used Margin × 100; cash-based stop-out accounts are unsupported. Futures use verified broker margin per contract, not notional ÷ leverage. Missing specifications leave limits unavailable. Only the tested configurations listed below have return data; other bots on a hosting page are not assigned these results.

Select / strategySize & broker specificationsTest net / return30-day / weekly / daily USD & %Historical DD / stressMargin / limitsStatus
No selection

Each maximum assumes this row alone, after existing margin. Selected rows share one equity balance. Sum of scaled drawdowns is a stress comparison, not measured combined drawdown. Different test dates, correlations, variable position sizes, fills, gaps, tiered margin and broker limits prevent linear scaling from proving executable returns. No compounding. Re-run Strategy Tester and forward-test any size change. Pine native trailing results are particularly fill-sensitive ($164,310 versus $56,910 completed-close comparator); US30 failed doubled-cost stress. NAS100 SAR August lost $3,784.55 at .01 lot, DD $4,791.05; that larger DD is used for its stress limit.

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