Neural Grid FX Portfolio - automated multi-pair grid system, live since June 2026


This thread documents a fully automated grid strategy running on a real account (EUR, 1:500, ECN) across nine low-correlation forex pairs, with a neural network filter on entries.


Key facts as of September 11, 2026:- Total growth: +14.06 % since inception (June 2026)- 158 closed trades, 77.21 % win rate, profit factor 2.34- Max equity drawdown: 23.8 % (August, fully recovered)- Realized balance drawdown: 2.78 %- Hard equity stop at 35 %, capped grid depth, no deposits added since the initial 1,000 EUR


This is a grid system with progressive lot sizing - floating drawdowns are part of the profile, and the August episode shows what that looks like in practice. After that event, the weakest pair (GBPNZD) was removed from the portfolio.


The account is verified here on Myfxbook and independently tracked on MQL5: https://www.mql5.com/en/signals/2378071


I will post a monthly report in this thread (fixed format: net result, trades, profit factor, max equity DD, grid statistics). Questions about the risk framework are welcome.


Attachments: