Automated futures trading • fully hands-off

3 automated strategies.
Fully hands-off.

Battle-tested algo strategies for MGC, MES, and ES. Automated through TradingView + Tradovate. One payment, lifetime access.

2.21
Best profit factor
3
Max trades per day
$32k+
Combined annual P&L
100%
Automated execution

Three edges. Three instruments. One system.

Each strategy exploits a different market structure — opening range, initial balance, and first 15 reaction zones. They run independently and compound together.

MGC
Micro Gold Futures
$9,400
Annual P&L
1.73
Profit factor
54%
Win rate
1.5:1
Avg risk/reward
Micro Gold Futures Dynamic risk sizing 2 profit targets Day filters applied

A structured edge on gold futures with a 54% win rate across 12 months of data. Runs fully automated — no discretion, no manual execution. The numbers speak for themselves.

MES
Micro S&P 500 Futures
$9,300
Annual P&L
2.21
Profit factor
78%
Win rate
0.6:1
Avg risk/reward
Micro S&P 500 Futures Dynamic risk sizing 2 profit targets Day filters applied

A repeatable edge on S&P futures with an exceptional 78% win rate and 2.21 profit factor across 12 months. Every entry, exit, and stop fires automatically. Note: the 0.6:1 reward ratio is intentional — at 78% win rate the math is strongly in your favour. You win smaller but very often. Expect occasional losing streaks to feel uncomfortable despite the edge being intact.

Everything you need to go live

This isn't a course or a signal service. You get the actual strategies, the code, and a personal setup session.

Pine Script strategies

Full source code for TradingView. Every parameter is configurable — entry levels, stop loss, profit targets, day filters, position sizing. You own the code forever.

Webhook automation

Pre-built webhook JSON for PickMyTrade + Tradovate. Every entry, exit, stop, and profit target fires automatically to your broker. No manual execution.

1-on-1 setup call

60-minute video call where I walk you through installing the strategies, connecting your broker, creating alerts, and verifying everything works on a demo account.

Optimisation data

Full backtest exports, day-of-week analysis, and the exact optimisation findings that shaped each strategy's filters. You'll understand why every setting is what it is.

Prop firm playbook

The exact account setup, risk rules, and multi-account scaling approach. Daily hard stops, consistency rules, and how to run 5–10 accounts from one webhook.

Lifetime updates

When market conditions shift and parameters need adjusting, you'll get the updated scripts. No recurring fee — one payment covers everything.

One payment. Lifetime access.

No subscriptions. No recurring fees. You get the strategies, the code, and the knowledge to run them independently.

SINGLE STRATEGY
£2,300
One-time payment
Choose any 1 strategy
Full Pine Script source code
Webhook automation setup
30-min setup call
Backtest data & analysis
Other 2 strategies
Prop firm playbook
Get started
TWO STRATEGIES
£3,800
One-time payment
Choose any 2 strategies
Full Pine Script source code
Webhook automation setup
45-min setup call
Backtest data & analysis
3rd strategy
Prop firm playbook
Get started

Backtest results — two scenarios

Both tables use the same 12-month backtest. The second scales position sizing to 3% risk per trade ($1,500) on a $50k account.

$50k Prop Account — Backtest (conservative sizing)
Symbol Instrument Annual P&L Profit Factor Win Rate Max DD Return on $50k
MGC Micro Gold $9,400 1.73 54% 18.8%
MES Micro S&P 500 $9,300 2.21 78% 18.6%
ES E-mini S&P 500 $13,863 1.82 34% -$3,500 27.7%
Combined $32,563 1.92 65.1%
$50k Live Account — 3% Risk Per Trade ($1,500) · Based on Backtest
Symbol Instrument Risk / Trade Size Multiplier Annual P&L Profit Factor Return on $50k
MGC Micro Gold $1,500 10× $94,000 1.73 188%
MES Micro S&P 500 $1,500 7.5× $69,750 2.21 139.5%
ES E-mini S&P 500 $1,500 $20,795 1.82 41.6%
Combined $4,500 / day max $184,545 1.92 369%
Size multiplier = $1,500 ÷ original risk per trade. All P&L figures are linear projections from the same 12-month backtest dataset. Past performance does not guarantee future results.

Common questions

Can I see the strategy before I buy?
No — the value is in the exact parameters, day filters, and optimisation. Once you see the code, you could replicate it yourself. That's why this is a one-time purchase, not a subscription.
What broker do I need?
Tradovate (or any broker that integrates with Tradovate, including NinjaTrader). Works with personal accounts and prop firms. You'll also need TradingView Essential plan ($15/mo) and PickMyTrade ($50/mo) for automation.
Do the strategies work on prop firms?
Yes — they were specifically optimised for prop firm rules. Consistency rules, drawdown limits, and daily loss caps are all factored in. The strategies are running live on prop accounts through PickMyTrade right now.
What's the minimum account size?
These strategies are built and optimised for $50k funded prop accounts. At 3% risk per trade ($1,500), the dynamic sizing works correctly across all three instruments. For personal accounts, $50k+ is recommended to match the sizing.
Are results guaranteed?
No. Past performance does not guarantee future results. Futures trading involves substantial risk of loss. These strategies have a statistical edge based on 12 months of data, but markets change and there will be losing periods. You should only trade with capital you can afford to lose.
How long does setup take?
Most people are live within 1–2 hours after the setup call. You'll load the scripts into TradingView, connect your broker through PickMyTrade, create three alerts, and verify on a demo account. The call walks you through every step.

Ready to automate your trading?

Apply for access. Limited spots to ensure quality onboarding.

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