Proprietary advanced quantitative system built on a proven mathematical edge, utilizing robust algorithmic frameworks that integrate market structure, momentum, and advanced risk mitigation.
These is conservative risk configuration with a monthly target of 5% on average. Equity stop is set at 15%. Leverage of 1:20 is enough for current risk configuration.
The system DOES NOT use grid, Martingale, scalping or any other risky trading techinques.