A fully automated forex strategy focused on steady, low-drawdown growth through short-term momentum trading across major USD pairs. The system uses strict, rules-based execution with no discretionary input, ensuring consistent and emotion-free performance. Capital is diversified across multiple pairs to reduce correlation risk, while dynamic position sizing adapts to market volatility. Designed with institutional risk controls (1–4% drawdown range), this strategy prioritizes capital preservation and stable compounding over aggressive returns.