Syncing Markets...
Strategic asset management across Crypto, Forex, and Precious Metals using algorithmic precision and human intuition.
Years Experience
Success Rate
Major Markets
Risk Monitoring
Trading is a game of probability. My edge is built on rigorous backtesting and dynamic risk management. I maintain a strict 1:3 minimum Risk-to-Reward ratio.
Avg Monthly Return
+12.4%
Max Drawdown
-4.2%
Profit Factor
2.8
Total Trades
2,450+
Low timeframe exploitation on Gold and Silver using order flow imbalance and liquidity sweeps. Execution within seconds/minutes.
Capitalizing on session-based volatility (London Open/NY Open). Focused on Forex majors with strictly daily closures.
Positioning for major market shifts in Crypto. Utilizing Fibonacci extensions and institutional footprinting on H4/Daily charts.
The core of survival. Anti-martingale position sizing and delta-neutral hedging to protect capital during high volatility.
Get in touch for institutional collaboration or private strategy consulting.