Packaged Trading Strategies
Choose which market condition packaged datasets to copy trade with your account
Mean Reversion
Proven in range-bound markets
24.5%
ROI
76%
Win Rate
1.2
Sharpe
Markets Traded
Trend Up
Proven in bull markets
32.1%
ROI
68%
Win Rate
1.5
Sharpe
Markets Traded
Trend Down
Proven in bear markets
38.7%
ROI
71%
Win Rate
1.4
Sharpe
Markets Traded
News/Breakout
Volatility and event traders
36.2%
ROI
53%
Win Rate
1.8
Sharpe
Markets Traded
Customize Your Packaged Trading Strategy
Adjust optionality across the packaged trading strategies
Strategy Summary
Your account will follow the selected allocation for the next strategic period (5 - 30 days).
Risk Management: Maximum 2% risk per trade, Stop Loss based on market volatility.
Market Focus: Your account will only trade in the markets proven by your selected package.