Stop Guessing.
Copy Winning Trades Instead.

Our fully automated MAM (Multi-Account Manager) system lets you copy battle-tested algorithmic strategies designed for optimized, risk-adjusted profits.

Our Partners

ASIC
MetaQuotes
MetaTrader
Fusion Markets

What Makes Us Different?

100% Algorithmic Trading

Our fund is powered by strategies developed using StrategyQuant X, leveraging genetic evolution and statistical rigor to identify reliable trading opportunities.

Diversified Strategy Portfolio

We don't rely on a single strategy—we run over 40 independently verified trading systems at the same time, covering forex, indices, gold, and crypto for steady performance.

Proven Track Record

Our strategies undergo extensive backtesting, out-of-sample testing, and multi-market validation, maximizing robustness before they hit the live market.

Risk-Adjusted Returns

No Martingale. No Cost Averaging. Every trade has a stop-loss. Risk is tightly managed—so you don't blow up your account.

Transparent Fee Structure

Our interests are fully aligned with yours. We only charge a performance fee—there are no management fees, ever. Our performance fee is based on a high-water mark, meaning we only earn a percentage of the profits you make, and never from losses.

$5,000-$99,999

30%

Minimum investment tier

$100,000-$499,999

25%

Mid-tier investment

$500,000+

20%

Premium tier

How It Works

01

Join the Fund

Open an account with our partnered broker and link it to our MAM system.

02

Automated Execution

Your account automatically mirrors the strategies—zero manual input needed.

03

Monitor & Withdraw Anytime

No lock-ups. Your money stays in your broker account.

Key Features

Markets Traded

Forex, indices, commodities, and crypto.

Trade Duration

Intraday to short-term swing trades (1-3 days max).

Automation

Fully automated execution with human oversight to maintain performance stability.

Fund Segregation

Your funds stay in your broker account—withdraw anytime.

What Sets Our Strategies Apart?

Simplicity and Robustness

Our strategies use straightforward rules (e.g., "yesterday closed up") that have demonstrated reliability over time.

Rigorous Testing

Strategies undergo multi-market testing, increased slippage scenarios, and stress tests to maximize their probability of success in real-world conditions.

Ongoing Optimization

We monitor and refresh the portfolio quarterly, removing underperforming strategies and integrating new ones to adapt to market changes.

Download Our White Paper

Dive deep into our strategy development process and robustness testing methodology. Learn how we validate our algorithms across multiple market conditions.

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Ready to Invest?

Leverage our extensive research and connect your account today.