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

EUR/USD GBP/USD USD/JPY USD/CAD

Trend Up

Proven in bull markets

32.1%
ROI
68%
Win Rate
1.5
Sharpe

Markets Traded

XAU/USD NZD/USD USD/CAD GBP/JPY

Trend Down

Proven in bear markets

38.7%
ROI
71%
Win Rate
1.4
Sharpe

Markets Traded

EUR/CHF USD/CHF AUD/JPY CAD/JPY

News/Breakout

Volatility and event traders

36.2%
ROI
53%
Win Rate
1.8
Sharpe

Markets Traded

AUD/JPY EUR/USD USD/JPY XAU/USD

Customize Your Packaged Trading Strategy

Adjust optionality across the packaged trading strategies

Mean Reversion 25%
Trend Up 25%
Trend Down 25%
News/Breakout 25%

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.