Automated intelligence that learns, adapts, and executes without emotion — giving you time back.
Money working for you — no screens, no stress cycles.
A business that runs while you sleep instead of a hobby.
Your capital is compounding, not idle in a stagnant account.
Since 2021, my audited ML bot has outperformed the S&P 500 with disciplined risk and verified broker statements — delivering hands‑free, 24/7 money working for you.
Outperformed
S&P 500
since 2021
Audited
broker
statements
Money working
24/7
Hands-free
Screenshots from audited brokers, FXBlue and live terminals across investing portfolios and active trading sessions.
Investing results are verified by bróker statements. Trading results are high risk:reward portfolios opened to stress test further the strategy. I do not promote those results as expectation but inspiration. I lose accounts but I use a format called "trading farms" where my money is diversified across accounts, I can't lose all blowing 1 account.
Two portfolios. Real verified broker statements. Automated execution from day one.
Dec 2021 - Feb 2024 (27 months) • Legacy High-frequency gold engine. Paused Feb 2024 for strategy optimization + bug fixes.
Oct 2024 - Oct 2025 • High-performance engine with adaptive volatility scaling. Live client portfolio.
Real trading videos - results, withdrawals, and live system performance.
View All 122 VideosI realized early that relying on “probabilities” is a gambler’s fallacy. I don’t guess where price will go; I manage risk when it gets there. I am a Counter Trend specialist.
I solved the probabilistic trap by knowing the trend with absolute certainty—because I am always against it. Drawdown confirms when I’ve entered a cycle, and my choice to oppose it is pure logic: I know the trend, I refuse to ride it, and I wait for its exhaustion.
I allow risk into the system because I control the exit. While others fear the trend, I dominate it. I don’t rely on stocks or synthetic artifacts. I trade economies, currencies, indices, bonds, and futures—markets with trillions in liquidity that no human can manipulate.
I move by facts. Gold cannot be dropped to zero. I’ve studied the U.S. economy with clinical precision, stress-testing my approach against 2008, 2011, 2013, 2020, and live cycles from 2021 to 2026. I don’t trust opinions, and I ignore outside noise. My roadmap is built on data and what my eyes can verify.
They tell you leverage kills. They are wrong. Mismanagement kills. I wield 1:500 and 1:1000 leverage with surgical precision, utilizing 0.01 micro-lots to hedge, grid, and stabilize equity.
I use effective techniques—Grid and Hedge—without re-inventing the wheel. Through relentless stress-testing and margin optimization, I turned "risky" strategies into consistent compounding machines. I don't smoke accounts. I secure them.
The market is flooded with MQL5 Martingale garbage that blows up in a week. I built something different. My goal is 100% Automation: advanced trailing stops, dynamic partial closings, and intelligent progression.
Two brains think better than one. I've paid the tuition—blowing accounts in simulation thousands of times so you don't have to in reality. Join the ecosystem. Find your edge. Smoke the markets with me.
Since 2024, I’ve been testing high risk-to-reward strategies while reducing exposure from counter-trending. My pursuit of perfection led to V2 and V3 within a year, and V4 remains under construction in 2026 due to its complexity and new engines.
With V4, I aim to build a fully automated ecosystem:
The algorithms now include risk management, time filters, and news filters. I’ve perfected counter-trending, reducing exposure with hedge and reverse mechanics. Partial closes add significant value, with testing results proving exceptional.
Trailings evolved from broken two-step attempts (thanks to Fiverr coders) into a robust seven-step system, coded by me, with both average and point formats working flawlessly.
I trade and invest as a single discipline. I trust something simple: logic. I focus on assets backed by countries and real economies instead of narratives.
I trust USD and XAU, two of the most stable references on the planet. I do not rely on humans in the form of stocks or alternative markets like crypto because I rely on data and statistical edge, not hype.
The only way USD truly fails is if the U.S. economy collapses. By then, markets are the last thing anyone will care about. XAU is gold, real and tangible; basing my thesis on XAUUSD CFDs is not gambling, it is structure.
The systems are simple but efficient enough to adapt to any thesis: counter‑trending, reversing, hedging or combining multiple layers of complexity across price divergence. The next step is structured portfolios with multiple assets, algorithms and strategies for final diversification. Five years beating the S&P 500 is not a slogan; it is my baseline.
Here is why I am different. While others are drawing lines, I am running kernel-level simulations.