A fully autonomous AI system that scans 500+ tickers, reads sentiment, predicts moves, and manages risk — 24 hours a day, 7 days a week.
Performance
Every metric comes from live market execution. No backtested fantasy — real signals, real orders, real outcomes.
1 in 2 trades closes profitably. Combined with strong trade sizing, winners outweigh losers.
For every $1 lost, the system generates $1.60 in gains. Positive expectancy over time.
System calibrated for a 10% monthly return target through Kelly Criterion position sizing.
Market scanned every 30–60 minutes during trading hours. Never misses a setup.
Track Record
Every trade logged, every outcome measured. All figures are percentage returns since system launch.
| Period | Return | Win Rate | Trades | Long W/R | Short W/R | Profit Factor | Status |
|---|---|---|---|---|---|---|---|
| May 2026 | +5.8% | 50% | 46 | 55% | 44% | 1.6× | ● LIVE |
| Apr 2026 | +7.2% | 54% | 38 | 58% | 48% | 1.8× | Closed |
| Mar 2026 | +3.1% | 47% | 42 | 50% | 42% | 1.3× | Closed |
| Feb 2026 | +9.4% | 56% | 51 | 61% | 50% | 2.1× | Closed |
| Jan 2026 | -0.3% | 43% | 35 | 46% | 38% | 0.8× | Closed |
| Dec 2025 | +6.6% | 52% | 44 | 55% | 48% | 1.7× | Closed |
How It Works
Each agent has a single job. Together they form a closed-loop system that scans, predicts, executes, monitors, and learns — continuously.
Signal Intelligence
Each signal is independently scored and combined into a single 0–100 confidence rating. No single signal dominates — the edge is in the combination.
Risk Management
Every position is managed from entry to exit with layered risk controls. Capital preservation is the first priority.