Harmony FX

Harmony FX is a system that uses the principles of mean reversion. Automated trading system. Mean eversion basically means that price would revert to its average. But for greater efficiency, the strategy does not trade for all 24 hours, but only during the Asian session, when the market is calm, with this approach, the results are much better.

  • Growth Since Inception – +105.64%
  • Portfolio Inception Date – Dec 2019
  • Maximum Historical Drawdown – 10.49%
Year Jan Feb Mar April May Jun July Aug Sep Oct Nov Dec YTD
2019 0.73 0.73
2020 6.3 11.75 4.62 -4.68 10.02 4.48 8.51 9.96 4.94 6.57 3.2 3.04 93.24
2021 6.59 1.68 6.36 5.55 4.13 25.81

Return is gross return on balance and before performance fee. Open positions that carry unrealised profit/loss are not taken into account to calculate gross return. Past performance results are not necessarily indicative of future results.

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Titan FX

Strategy Details: Our portfolio consists of multiple trading systems, trading on 30 FX pairs and Metals (XAUUSD). High degree of diversification allows for more stable equity curve and high recovery ability after drawdown periods.

  • Growth Since Inception – +8.78%

  • Portfolio Inception Date – AUG 2020

  • Maximum Historical Drawdown – 15.57%
Year Jan Feb Mar April May Jun July Aug Sep Oct Nov Dec YTD
2016 7.15 7.15
2017 5.02 3.05 5.48 5.24 7.59 5.78 3.47 2.96 2.37 3.12 -0.19 2.78 41.49
2018 4.16 2.14 8.4 2.32 3.65 6.06 3.63 6.61 0.82 3.88 4.76 1.97 48.4
2019 9.06 3.41 6.18 1.16 1.69 2.73 2.81 15.49 4.53 2.86 -0.27 8.37 41.82
2020 4.98 6.4 2.84 -1.46 0.76 2.47 3.03 5.66 3.58 -3.22 5.63 -4.49 31.74
2021 -0.08 -1.75 -0.14 -2.63 1.37 -3.23

Return is gross return on balance and before performance fee. Open positions that carry unrealised profit/loss are not taken into account to calculate gross return. Past performance results are not necessarily indicative of future results.

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New Spark FX

New Spark FX is a semi-auto trading system that is managed by an European portfolio manager with over 10 years of trading experience. The semi automated trading system is based on short term scalping in EURUSD. It takes advantage of high leverage and generates profits from tight interbank spreads. Technical indicators and mathematical formulas are used to measure price volatility for additional confirmation. System also avoids unnecessary trading when spreads are abnormally high. This portfolio strategy is efficiently and opportunistically designed to maximize risk/reward.

  • Growth Since Inception – +8.78%

  • Portfolio Inception Date – AUG 2020

  • Maximum Historical Drawdown – 15.57%
Year Jan Feb Mar April May Jun July Aug Sep Oct Nov Dec YTD
2020 7.19 2.95 7.04 -3.17 -10.56 3.45
2021 4.67 3.76 -0.59 2.09 5.44 15.37

Return is gross return on balance and before performance fee. Open positions that carry unrealised profit/loss are not taken into account to calculate gross return. Past performance results are not necessarily indicative of future results.

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Cornerstone FX

Cornerstone FX is a fully automated scalping system that catches the short wave retracements that take place when the market reaches a peak overbought or oversold state. The advanced system built by a private fund manager from New York, US with over 20 years experience of quantitative trading. It enters the market on triggers from multiple indicators’ signals. A key element of this strategy is that it spreads risk across a number of trades to create a scalp sequence. This averaging out is essential in restricting drawdowns and creating incremental profits. Each currency pair is limited to one order only. The algos uses very advanced exit-algorithms and has a build in spread-filter and slippage-control algorithms. This system is good for capturing small profits caused by market volatility. The fund manager also integrated a profitable day trading strategy focused on major pairs into the system.

  • Growth Since Inception – +13.46%
  • Portfolio Inception Date – AUG 2020

  • Maximum Historical Drawdown – 3.90%

Year Jan Feb Mar April May Jun July Aug Sep Oct Nov Dec YTD
2020 3.13 2.46 2.35 3.92 2.06 1.12 3.01 1.93 1.88 2.56 24.42
2021 1.74 -8.22 1.13 1.23 1.49 -2.63

Return is gross return on balance and before performance fee. Open positions that carry unrealised profit/loss are not taken into account to calculate gross return. Past performance results are not necessarily indicative of future results.

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Jupiter FX

Jupiter FX is traded by a trader who is based in China. He is a specialist on medium-long term trading in different pair currency, low drawdown and consistency profit with strict risk control. Moreover, This strategy does focus on trend trading too. Hence, you will notice that the trade holding time will be much longer compared to short-medium term strategy and the pips taken will be much more than the short-medium term strategy.

  • Growth Since Inception – +1.59%
  • Portfolio Inception Date – OCT 2020

  • Maximum Historical Drawdown – 3.61%

Year Jan Feb Mar April May Jun July Aug Sep Oct Nov Dec YTD
2020 2.65 2.02 6.62 3.96 -1.91 13.34
2021 -2.06 -4.51 -6.93 4.30 -1.63 -10.83

Return is gross return on balance and before performance fee. Open positions that carry unrealised profit/loss are not taken into account to calculate gross return. Past performance results are not necessarily indicative of future results.

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