Boring Pips Medium Risk Review - Long-Term MQL5 Signal with 1568% Growth
🚀 Strong Long-Term Growth from a 100 USD Start
If you are looking for a medium-risk forex signal with a long track record, Boring Pips MEDIUM RISK is one of the names worth watching. Based on the data shown in the screenshot, this signal has delivered 1568.76% total growth since 2022 from an initial deposit of just 100 USD, with current equity at 1691.31 USD and total profit at 1585.84 USD. For traders who prefer steady long-term expansion over short-lived hype, this kind of curve is definitely attention-grabbing.
🔍 What Is Boring Pips MEDIUM RISK?
Boring Pips MEDIUM RISK is a MetaTrader signal focused on automated execution, with the profile showing 99% algo trading. The account is connected to ICMarketsSC-Live33 with 1:500 leverage, and the signal has built a reliability history of 182 weeks.
From the available statistics, the strategy appears to focus mainly on correlated forex pairs such as AUDNZD, AUDCAD, and NZDCAD, with only minimal exposure to EURUSD. This suggests a specialized basket-style approach rather than a broad multi-asset system.
📊 Performance Data Analysis
Total Growth: 1568.76%
Equity: 1691.31 USD
Profit: 1585.84 USD
Initial Deposit: 100.00 USD
Deposits: 8.59 USD
Withdrawals: 0.00 USD
Total Trades: 1020
Winning Trades: 691 trades or 67.74%
Losing Trades: 329 trades or 32.25%
Best Trade: 49.67 USD
Worst Trade: -25.98 USD
Gross Profit: 2813.13 USD
Gross Loss: -1227.29 USD
Profit Factor: 2.29
Expected Payoff: 1.55 USD
Average Profit: 4.07 USD
Average Loss: -3.73 USD
Monthly Growth: 4.16%
Annual Forecast: 50.46%
Trading Activity: 47.02%
Average Holding Time: 3 days
Trades Per Week: 3
Latest Trade: 12 hours ago
⚖️ Risk Profile and Stability
This signal clearly offers strong historical growth, but it is not a low-risk setup. The data shows maximum drawdown at 38.6%, while the statistics page shows relative drawdown by equity at 38.57% and relative drawdown by balance at 7.25%. In other words, the system has strong upside, but traders should still be mentally prepared for deep floating drawdowns during difficult periods.
On the positive side, max deposit load is only 12.07%, which suggests the account is not constantly overexposed. The Sharpe Ratio of 0.19 is not especially high, so this is not a smooth low-volatility strategy. It is better classified as a medium-risk signal that can produce impressive returns, but only for users who understand the psychological pressure of drawdown.
📈 Distribution and Trading Focus
The signal is heavily concentrated in three main pairs:
- AUDNZD: 351 deals
- AUDCAD: 340 deals
- NZDCAD: 327 deals
- EURUSD: 2 deals
This confirms that Boring Pips MEDIUM RISK is not trying to trade everything. Instead, it focuses on a narrow set of correlated pairs where the provider likely sees the most consistent edge.
✅ The Pros
- Strong long-term growth of 1568.76% from a 100 USD starting balance.
- Long operating history with 182 weeks of reliability shown on the profile.
- Healthy win rate of 67.74% with a solid profit factor of 2.29.
- Focused execution on selected correlated pairs instead of random over-diversification.
- High automation level at 99% algo trading.
❌ The Cons
- Equity drawdown near 38.57% is still significant for many traders.
- This is a medium-risk strategy, not a conservative low-risk signal.
- The subscription price is high at 999 USD per month.
- The strategy is concentrated mainly on AUDNZD, AUDCAD, and NZDCAD, so diversification is limited.
- Risk tolerance is still required even with a strong historical curve.
⚙️ Technical Requirements and Setup
Platform: MetaTrader 4 signal
Broker Environment Shown: ICMarketsSC-Live33
Leverage: 1:500
Starting Balance in the Screenshot: 100 USD
Main Pairs: AUDNZD, AUDCAD, NZDCAD
Trading Style: Automated medium-risk signal with an average holding time of around 3 days
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⚠️ Special Notes and Warning
- The performance figures in this article are based on the screenshot capture provided and may change over time on the live signal page.
- Always expect live trading statistics such as growth, drawdown, trade count, and activity to update dynamically.
- Never subscribe to a signal only because of historical growth. Always review drawdown, trade consistency, and current activity.
- Use proper risk management before copying any medium-risk trading system.
🧾 Final Verdict
Boring Pips MEDIUM RISK looks attractive for traders who want a long-running automated signal with strong historical growth and a specialized basket-style trading approach. The win rate and profit factor are solid, and the long-term equity curve is impressive. However, the drawdown profile shows that this is not suitable for traders with low risk tolerance.
In simple terms, this signal may fit traders who are comfortable with medium risk and who value long-term growth more than ultra-smooth equity behavior. It is less suitable for users who want low drawdown or extremely conservative capital preservation.
📌 Disclaimer
Forex trading carries a high level of risk and may not be suitable for every trader. Past performance does not guarantee future results. Only use capital you are fully prepared to lose, and always test carefully before committing to any live subscription or copying service.
🔗 Reource and Reference
Primary reference:
MQL5 - Boring Pips MEDIUM RISK Signal Page
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