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.
Six strategies across four instruments — gold, S&P, and Nasdaq. They all run independently. Click any card to see the full backtest.
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.
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.
Loses more than it wins and still doubles your account. Avg winner $3,460 vs avg loser $1,000. When it hits, it hits hard. 101 trades over 12 months. The uncomfortable edge that actually works. ⚠ Prop account note: 33.7% win rate may conflict with strict consistency rules. Check your firm before running this strategy.
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.
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.
Waits for price to break above the Previous Day High on gold, then enters long on the retracement back — buying institutional support as resistance flips to support. Average winner is 5.46× the average loser. Low frequency, maximum precision. 28 trades, highly selective. ✓ Prop firm friendly — sized within drawdown rules.
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.
This isn't a course or a signal service. You get the actual strategies, the code, and a personal setup session.
Full source code for TradingView. Every parameter is configurable — entry levels, stop loss, profit targets, day filters, position sizing. You own the code forever.
Pre-built webhook JSON for PickMyTrade + Tradovate. Every entry, exit, stop, and profit target fires automatically to your broker. No manual execution.
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.
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.
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.
When market conditions shift and parameters need adjusting, you'll get the updated scripts throughout your 12-month licence. Every optimisation is included.
From purchase to fully automated trading in one session.
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.
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.
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.
These strategies aren't for everyone. Read this before you buy.
Pick your strategies, set your account size and risk. See what the backtest says. Every number is real — no projections pulled from thin air.
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.
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.
Real backtest data. $1,500 risk per trade. $50k account. The drawdowns are in there too — we don't hide them.
| 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% | |
Launch pricing. 5 strategies. 4 instruments. All updates for 12 months. Every morning they execute — the only question is whether it's for you.
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