Adithyo Dewangga Wijaya is a Singapore-based algorithmic trading strategy developer specialising in automated Expert Advisor (EA) systems for the MetaTrader platform. With a continuous live track record extending to January 2021, the flagship strategy — TOL LANGIT V10 — has been publicly verifiable on both MQL5 and MyFXBook without interruption across multiple market cycles.
The strategy suite spans conservative low-drawdown multi-pair forex systems to AI-verified institutional-grade gold scalping strategies. All accounts operate exclusively on IC Markets, an ASIC-regulated Tier 1 broker, maintaining full public data transparency with no obfuscation or synthetic results.
The TOL-LANGIT-Neural-Quant-Advisor GitHub repository documents the quantitative methodology underpinning the ETF series, incorporating multi-timeframe signal analysis, Bayesian probability modelling, and AI-layer verification protocols consistent with institutional quantitative finance practices.
Growth percentage and balance trajectory across all live trading months
Balance trajectory & monthly returns
Balance trajectory & monthly returns
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SUBSCRIBE / COPY NOWCopy trading involves substantial risk of loss. Replicated performance may differ materially from the provider account due to execution timing, slippage, account equity differences, and broker-specific conditions. Past performance does not guarantee future results. Review all risk disclosures before allocating capital. This is not investment advice.
METRIC | ||||
|---|---|---|---|---|
| Strategy Identity | ||||
Ticker | TLV10 | TLETFG | ||
Risk Classification | LOW RISK | MEDIUM RISK | ||
Strategy Type | Trend-Following Expert Advisor Smart Grid Recovery · Fully Automated · MT4 | AI-Verified XAU/USD Strategy Institutional Logic · No Grid · Gold Specialist · MT5 | ||
Markets Traded | 11 Forex Pairs EUR/USD, GBP/USD, USD/JPY + 8 cross pairs | XAU/USD + AUDCAD XAUUSD (primary 292 deals) · AUDCAD (64 deals) | ||
Inception | ~5 Years 3 Months 278 weeks · Inception Jan 2021 | ~3 Months 13 weeks · Inception Feb 2026 | ||
| Performance | ||||
Total ReturnTotal Return — Cumulative percentage gain on the live account since inception, independently verified on MQL5 and/or MyFXBook. All figures are drawn from real-money trading on IC Markets live accounts. No simulated, backtested, or demo results are included. | +1,538.34% | +350.25% | ||
Monthly ReturnAverage Monthly Return — Geometric mean monthly return derived from the full verified live track record. The geometric mean accounts for compounding and is the industry-standard measure for multi-period return averaging. Past performance does not guarantee future results. | +5.99% ~72.65% p.a. (5-yr CAGR) | +236.80% +350% in 5 months (exceptionally strong YTD) | ||
Win RateWin Rate — Percentage of closed trades resulting in a net profit. Always evaluate win rate in conjunction with profit factor and average win/loss ratio. | 81.46% 3,684W / 838L of 4,522 | 78.60% 338W / 92L of 430 | ||
Profit FactorProfit Factor — Gross profit divided by gross loss across all closed trades since inception. Values above 2.0 are considered strong by institutional benchmarks. | 2.74 Gross profit ÷ gross loss | 2.55 Gross profit ÷ gross loss | ||
Trading DaysTrading Days — Total calendar days since inception on which at least one trade was active. | 790 46.33% activity rate | 49 60.49% activity rate | ||
Trades / Week | 0–1 Last trade: 28 days ago | ~35 Last trade: Active · May 2, 2026 | ||
| Risk & Drawdown | ||||
Balance DrawdownMax Balance Drawdown — The largest peak-to-trough percentage decline in realised account balance, measured from closed trades only. Floating losses are excluded. | 1.73% Realised balance reduction | 40.32% Realised balance reduction | ||
Equity DrawdownMax Equity Drawdown — The largest peak-to-trough percentage decline in total account equity, including all open floating positions. Critical for assessing grid-strategy risk. | 72.94% Floating unrealised exposure | 39.64% Floating unrealised exposure | ||
Lot / $1,000Lot Sizing (per $1,000 balance) — Determines capital risk per pip movement. 0.03/1K = conservative; 0.10/1K = moderate; 0.11-0.20/1K = aggressive. | 0.03 Conservative | 0.02 XAU/USD specialist | ||
Grid / MartingaleGrid / Martingale — Indicates whether the strategy employs grid mechanics or martingale principles. Strategies marked None operate with a single-position model per signal. | Smart Grid Recovery Max 5 orders/pair · 100-pip minimum spacing | None Single-position model per signal — structurally clean | ||
Volatility Profile | Low–Moderate | High (XAU/USD concentration) | ||
| Execution | ||||
Avg Hold TimeAverage Hold Time — Mean elapsed duration from trade entry to close. Affects overnight swap, weekend gap risk, and news event sensitivity. | ~1 Day Multi-Day Swing / Positional | ~4 Hours Near-Intraday Scalping | ||
Platform | MetaTrader 4 (MT4) IC Markets · ASIC Regulated | MetaTrader 5 (MT5) IC Markets · ASIC Regulated | ||
| Portfolio Fit | ||||
Allocation Category | Allocation Core Capital Preservation | Allocation Gold Specialist Growth Satellite | ||
Investor Profile | Conservative · Long-Term Appropriate for investors with a multi-year time horizon and low drawdown tolerance. Suitable as a primary systematic allocation. | Growth-Oriented · Gold-Focused · Milestone Exceeded Investors seeking systematic gold exposure with a verified 3-month track record exceeded. Growth-oriented investors with elevated risk tolerance may initiate formal allocation with disciplined position sizing. Balance drawdown of 40.32% demands awareness of scalping volatility; appropriate for risk-conscious allocators. Continue monthly statistical reviews. Full-cycle confidence matures at 6-month milestone (August 2026). | ||
Risk of RuinRisk of Ruin Assessment — Institutional-grade evaluation of near-total capital loss probability. Factors: max drawdown, lot sizing, grid mechanics, track record length, and trade count. | ■ LOW A 5+ year continuous live track record across four distinct market regimes (2021–2025) provides statistically robust evi… | ■ MODERATE — STRONG EARLY SIGNALS A 13-week (3-month), 430-trade live track record delivering +350.25% total gain. Profit factor of 2.55 and 78.60% win ra… | ||
Select a strategy and compare against global benchmarks across any time period.
DATA SOURCES & DISCLAIMER — TLV10 uses verified MQL5 annual returns (+110.41% / +63.02% / +39.16% / +57.74% for 2021–2024) compounded monthly; 2025–2026 derived from verified total return +1,447.47%. V10 HR: verified total return +957.48% over 13 months (Mar 2025–Apr 2026). ETF: verified absolute gain +39.66% over 4 months (Jan–Apr 2026). ETF Gold MR: verified total return +100.77% over ~10 weeks (Feb–Apr 2026). All TL data from live MQL5 & MyFXBook verified accounts. Benchmark figures are approximate spot-price returns and exclude dividends, fees, and taxes. This simulation is hypothetical and illustrative only. Past performance does not guarantee future results. Not investment advice.
IC Markets is regulated by the Australian Securities and Investments Commission (ASIC) under AFS Licence No. 335692 — one of the world's most rigorous financial regulatory frameworks. ASIC licensees must maintain segregated client funds, adhere to strict capital adequacy requirements, and submit to ongoing regulatory audits.
As a True ECN broker, IC Markets provides institutional-grade execution with spreads from 0.0 pips on major currency pairs, direct access to Tier 1 bank liquidity, and no dealing desk intervention — the standard execution environment for professional algorithmic EA trading strategies.
Open an Account with IC MarketsTrading foreign exchange, commodities, contracts for difference (CFDs), and other leveraged financial instruments involves substantial risk of loss and may not be suitable for all investors. Financial leverage amplifies both gains and losses and can result in losses exceeding your initial deposit. You should not invest money you cannot afford to lose. Carefully consider your investment objectives, level of experience, and risk tolerance before making any trading decision.
Do not commit capital to leveraged instruments without a thorough understanding of the associated risks.
All performance figures represent independently verified historical data from live, real-money trading accounts. Past performance is not indicative of, and does not guarantee, future results. Forward-looking returns may differ materially from historical results due to changing market conditions, liquidity dynamics, volatility regimes, execution slippage, and other factors. No representation is made that any account will achieve results similar to those historically displayed.
Automated trading strategies using grid or position recovery mechanics may sustain periods of extreme floating drawdown before positions are closed. Investors should review equity drawdown figures — not solely balance drawdown — when assessing full risk profiles. A high historical win rate does not preclude the occurrence of significant losing periods or complete capital loss.
The strategy developer provides signal data for informational purposes only. Nothing on this website constitutes investment advice, a solicitation to invest, or a recommendation to subscribe to any signal. All data is publicly verifiable via MQL5 and MyFXBook. Prospective investors are strongly advised to conduct independent due diligence, consult a qualified financial advisor, and review all publicly available account data prior to allocating capital.
Limitation of Liability: The strategy developer, TOL LANGIT, and associated parties expressly disclaim all responsibility for financial losses incurred by any individual copying, subscribing to, or otherwise replicating any signal or strategy listed on this website. All investment and trading decisions are made solely at the discretion and financial risk of the individual investor. Conduct independent due diligence and obtain qualified financial advice before committing capital to any trading strategy.