Built for Institutional Precision

Every component engineered for maximum performance, security, and transparency.

Sniper Entry

Precision entry points primarily decided by human expertise based on deep analysis. The EA acts as a powerful assistant to execute and manage the rest.

Intelligent DCA Engine

Multi-layer DCA with dynamic distance based on ATR. The system adjusts entry points based on real-time volatility.

ATR-Based Execution

ATR calculations ensure entry points are dynamically spaced according to market volatility, avoiding static grid traps.

Trend Filter Integration

Multi-timeframe trend analysis pauses DCA sequences when market direction shifts, protecting capital.

Sequence Protection

Maximum cash exposure limits per sequence, configurable max orders, and real-time drawdown monitoring.

Independent Sequences

Trading sequences are managed independently, allowing flexible partial profit taking or cutting without affecting the whole system.

Technical & News Filters

Integrated macro-economic news filters and deep technical indicators to automatically avoid high-risk price storm zones.

Investment Lifecycle

A transparent and automated monthly cycle designed for optimal capital management.

Registration Data

Client submits info via form

One Month
Circle

Verify Account

Check info & set multiplier

Configure & Sync

Set parameters & sync to server

Trade & Monitor

Active trading & risk control

End of Cycle

Report => Withdraw => Pay fees

OPERATING PRINCIPLES

Explore the strategy execution flow. Hover over each item for details.

Copy Mechanism

Standard Cent account setup.

Client accounts copy the strategy from the Master account. The Master account is an Exness Standard Cent account, and clients must also use Standard Cent accounts (Standard USD accounts are being optimized and will be announced later).

Trading Cycle

1-month execution loop.

Each trading cycle lasts for 1 month, starting from the 1st Monday of the month and ending on the last Friday of the previous month (the final trading week).

Multiplier Calculation

Initialization & entry ratio logic.

On the 1st Monday of every month, the Master account balance resets to a fixed 100,000 USC ($1000).

The lot multiplier is calculated based on the Client balance and is always rounded DOWN to the nearest integer to ensure precision.
Ex: 330,000 USC balance (ratio 3.3) -> multiplier is 3. (Min ratio 1:1, max 1:12).

Free Trial Phase

Initial 15 days free copy.

Each new client account will enjoy a 15-day free copy trial before the system officially starts calculating and applying Profit Share policies.

Reports & Rollover

Cycle closing on the last Friday.

On the last Friday of every month, the system sends a report. Clients manually withdraw profits, settle profit share, and readjust balance for the new cycle. Must confirm with Admin if the multiplier changes.

Withdrawal Policy

Ensuring system stability.

If a Client wishes to withdraw funds mid-cycle, they must notify Admin to adjust system configurations. Note: Do not withdraw more than 2 times/month to prevent execution disruptions.