Live on 5 prop accounts • executing trades right now

From $50k. Fully automated.
This made $319k.

6 algo strategies firing across gold, S&P, and Nasdaq futures. No charts. No decisions. No screen time. You buy access once — the algos trade every single session whether you're watching or not.

$319k
Combined P&L — $1,500/trade
2.38
Best profit factor
0
Minutes of effort per day
Live
Running live — not hypothetical

Five edges. Four instruments. Zero effort.

Six strategies across four instruments — gold, S&P, and Nasdaq. They all run independently. Click any card to see the full backtest.

MGC
Micro Gold Futures
View backtest ↓
$61,370
P&L · $1,500/trade
1.75
Profit factor
53.5%
Win rate
122.7%
ROI on $50k
Micro Gold Futures $1,500 risk/trade 2 profit targets Day filters applied

Gold runs its own rules. This strategy finds the edge in the morning session and takes it — automatically. 157 trades. 53.5% winners. $61,370 profit. You do nothing.

Backtest — MGC · Apr 2025 – Apr 2026 · $1,500 risk per trade
Net profit$61,370
Return on $50k122.7%
Profit factor1.75
Total trades157
Win rate53.5%
Winning trades84
Losing trades73
Avg winning trade$1,704
Avg losing trade-$1,120
Largest winner$3,254
Largest loser-$1,757
Max drawdown-$9,628
Gross profit$143,160
Gross loss-$81,790
Expected payoff$391 / trade
Scaled to $1,500 risk per trade · $50k initial capital · past performance does not guarantee future results
MES
Micro S&P 500 Futures
View backtest ↓
$43,120
P&L · $1,500/trade
1.82
Profit factor
73.1%
Win rate
86.2%
ROI on $50k
Micro S&P 500 Futures $1,500 risk/trade 2 profit targets Day filters applied

Wins 73 out of every 100 trades. The most consistent of the three — lower risk per trade, lower drawdown, steady accumulation. Losing streaks feel wrong even when the edge is completely intact.

Backtest — MES · Oct 2025 – Apr 2026 · $1,500 risk per trade
Net profit$43,120
Return on $50k86.2%
Profit factor1.82
Total trades156
Win rate73.1%
Winning trades114
Losing trades42
Avg winning trade$839
Avg losing trade-$1,250
Largest winner$2,447
Largest loser-$2,419
Max drawdown-$9,423
Gross profit$95,606
Gross loss-$52,487
Expected payoff$276 / trade
Scaled to $1,500 risk per trade · $50k initial capital · past performance does not guarantee future results
MNQ
Micro Nasdaq Futures
View backtest ↓
$29,037
P&L · $1,500/trade
2.38
Profit factor
74.5%
Win rate
58.1%
ROI on $50k
Micro Nasdaq Futures VWAP mean reversion $1,500 risk/trade Day filters applied

A high-quality mean reversion edge on Nasdaq. 74.5% win rate with a 2.38 profit factor — the highest PF in the portfolio. Triggers when price stretches beyond a defined ATR distance from VWAP. Fully automated, Mon/Tue/Fri only.

Backtest — VWAP Stretch · MNQ · Apr 2025 – Apr 2026 · $1,500 risk per trade
Net profit$29,037
Return on $50k58.1%
Profit factor2.38
Total trades55
Win rate74.5%
Winning trades41
Losing trades14
Avg winning trade$1,220
Avg losing trade-$1,500
Largest winner$3,945
Largest loser-$7,041
Max drawdown-$7,245
Gross profit$50,037
Gross loss-$21,000
Expected payoff$528 / trade
Scaled to $1,500 risk per trade · $50k initial capital · past performance does not guarantee future results
MNQ
Micro Nasdaq Futures
View backtest ↓
$41,149
P&L · $1,500/trade
2.25
Profit factor
69.9%
Win rate
82.3%
ROI on $50k
Micro Nasdaq Futures RSI mean reversion $1,500 risk/trade Day filters applied

Fires when RSI hits oversold extremes on Nasdaq — one of the highest-conviction entry signals in mean reversion. 69.9% win rate, 2.25 profit factor. Runs Mon/Tue only, morning and afternoon sessions. Fully automated.

Backtest — RSI Snap · MNQ · Apr 2025 – Apr 2026 · $1,500 risk per trade
Net profit$41,149
Return on $50k82.3%
Profit factor2.25
Total trades73
Win rate69.9%
Winning trades51
Losing trades22
Avg winning trade$1,454
Avg losing trade-$1,500
Largest winner$5,764
Largest loser-$10,297
Max drawdown-$12,073
Gross profit$74,149
Gross loss-$33,000
Expected payoff$563 / trade
Scaled to $1,500 risk per trade · $50k initial capital · past performance does not guarantee future results

Built to destroy prop firm challenges.

Three strategies sized specifically for prop firm accounts. High win rates, tight drawdowns, no consistency rule conflicts. Run all three and let the algo pass your challenge.

MGC · IB BREAKOUT
+$16,365
Risk $400/trade Win rate 53.5% PF 1.75
MGC · PDH BREAKOUT
+$13,752
Risk $300/trade Win rate 42.9% PF 1.82
MNQ · RSI SNAP
+$8,230
Risk $300/trade Win rate 69.9% PF 2.25
BUNDLE P&L
+$38,347
How to prop farm with this bundle: Buy 5 prop firm accounts and run all three strategies at these exact risk levels. EOD trailing drawdown locks after profit target hit. Scale to 5–10 accounts and multiply the output. Zero manual intervention required — the algos handle everything.

Everything. Plug in and go.

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.

Annual updates

When market conditions shift and parameters need adjusting, you'll get the updated scripts throughout your 12-month licence. Every optimisation is included.

From zero to live in one session.

From purchase to fully automated trading in one session.

01

Purchase & choose your strategies

Complete checkout and reply to your confirmation with which strategies you want and your TradingView username. Access is granted within 24 hours. Access is granted within 24 hours.

02

Setup call

Book a 1-on-1 video call. I walk you through loading the strategies onto TradingView, connecting your broker via PickMyTrade, creating the webhook alerts, and running a full test on a demo account. You leave the call with everything working.

03

Go live & step back

Switch to your live account and let the automation run. The strategies fire automatically during market hours — entries, exits, stops, and profit targets. No charts to watch. No decisions to make.

Who this is — and isn't — for.

These strategies aren't for everyone. Read this before you buy.

This is for you if...
You have a $50k funded prop account or personal account
You want to automate trading without screen time
You're comfortable with TradingView and willing to learn the setup
You understand that drawdowns are part of any edge
You can hold a strategy through a losing streak without abandoning it
You trade futures or want to start trading futures
You run prop firm accounts and want high win rate, low drawdown strategies that pass consistency rules
This is not for you if...
You're looking for guaranteed profits or risk-free returns
You want a signal service — you still need to manage your own account
You have a prop account with very strict consistency rules (especially for ES)
You're not prepared to cover ~$63/mo in software costs (TradingView Essential + PickMyTrade)
You want to see the code before buying
You trade crypto or forex — these are futures-only strategies

What could this do for your account?

Pick your strategies, set your account size and risk. See what the backtest says. Every number is real — no projections pulled from thin air.

Select strategies
$50,000
3.0% · $1,500
MGC IB
$61,370
122.7% ROI
PF 1.75 · 53.5% WR
MGC PDH
$74,201
148.4% ROI
PF 1.82 · 42.9% WR
MGC
$68,760
137.5% ROI
PF 1.82 · 42.9% WR
MES
$43,120
86.2% ROI
PF 1.82 · 73.1% WR
ES
$75,984
152.0% ROI
PF 1.76 · 33.7% WR
MNQ
$29,037
58.1% ROI
PF 2.38 · 74.5% WR
MNQ
$41,149
82.3% ROI
PF 2.25 · 69.9% WR
SELECTED TOTAL
$319,420
638.8% ROI
6 strategies · $50k
Projected P&L scales linearly from 12-month backtest at $1,500 risk/trade. Past performance does not guarantee future results.

Every morning these fire,
whether you own them or not.

The strategies fire every morning whether you own them or not. The only question is whether those trades are going into your account — or nobody's. At £1,197/yr that's £3.28 a day for a fully automated system running across 5 strategies simultaneously.

£3.28
Cost per day — all five
0 min
Daily effort required
Live
Running on real accounts now

Launch pricing. Won't stay here.

First buyers get launch price. Once the testimonials come in, pricing moves to phase 2. One annual payment — renew or walk away, no auto-charges ever.

SINGLE STRATEGY
£597
Annual licence · renew or cancel
Choose any 1 of the 5 strategies
TradingView invite-only access
Webhook automation setup
30-min setup call
All optimisation updates for 12 months
Other 4 strategies
Prop firm playbook
Get started
TWO STRATEGIES
£897
Annual licence · renew or cancel
Choose any 2 of the 5 strategies
TradingView invite-only access to both
Webhook automation setup
45-min setup call
All optimisation updates for 12 months
3rd strategy
Prop firm playbook
Popular combo: IB Breakout + PDH Breakout + RSI Snap — the full prop bundle, sized to stay within drawdown rules.
Get started

Every trade. Every number. Nothing hidden.

Real backtest data. $1,500 risk per trade. $50k account. The drawdowns are in there too — we don't hide them.

$50k Account · $1,500 Risk Per Trade · Latest Backtest
Symbol Period P&L Profit Factor Win Rate Max DD ROI
MGC Apr 25 – Apr 26 $61,370 1.75 53.5% -$9,628 122.7%
MGC Apr 25 – Apr 26 $68,760 1.82 42.9% -$7,125 137.5%
MES Oct 25 – Apr 26 $43,120 1.82 73.1% -$9,423 86.2%
ES Apr 25 – Apr 26 $75,984 1.76 33.7% -$18,830 152.0%
MNQ Apr 25 – Apr 26 $29,037 2.38 74.5% -$7,245 58.1%
MNQ Apr 25 – Apr 26 $41,149 2.25 69.9% -$12,073 82.3%
Combined $319,420 638.8%
Scaled to $1,500 risk per trade from TradingView Strategy Tester · $50k initial capital · backtest periods vary by strategy · past performance does not guarantee future results.

Questions people actually ask.

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 an annual licence with invite-only access, not an open purchase.
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 ($13/mo) and PickMyTrade ($50/mo) for automation. All 5 strategies run through the same setup.
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.
How does the annual licence work?
You pay once and get 12 months of access. This includes TradingView invite-only access to the strategies, all optimisation updates made during the year, and support. At the end of 12 months you can renew or walk away — there are no auto-charges. If you don't renew, your TradingView access is removed. If you do renew, you carry on with any new improvements made over the year.
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 five strategies. 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.

The algos fire at market open.
Will they be in your account?

Launch pricing. 5 strategies. 4 instruments. All updates for 12 months. Every morning they execute — the only question is whether it's for you.

Apply now →