A hybrid directional trading engine whose edge comes from finely calibrated presets per pair and timeframe. 128 parameters adapt entry, exit, and risk management to each asset's unique dynamics.
Stochastic volatility envelope with upper/lower bands and dynamic median. Built on peer-reviewed mathematical research.
ICT/SMC Structure, Flow Validation, Adaptive Volatility, Conviction Scoring, Auto-Presets, Exit Engine v2.
Staged Take-Profits, Band Trailing, Conviction Exit, Smart Timeout, Regime Exit, Signal Flip.
Non-repainting signals. Conviction-scaled leverage. Alert-ready for webhook automation. Real-time dashboard.
Dynamic position sizing based on conviction score. Staged TP/SL with breakeven management and trailing stops.
Jan 2024 – May 2026. Up to +63% net return, profit factors up to 5.40. All pairs independently calibrated.