Triple-Layer Trading System for Serious Investors
CHALLENGES IN THE MARKET
Markets are unpredictable. Fund managers must outperform benchmarks without reckless risk. Retirees need stability and capital preservation. Mutual fund investors seek compounding without devastating drawdowns.
OUR SOLUTION
We built a three-layer trading engine that adapts to all market conditions
Structural Awareness
Precision Entry Logic
Utility-Driven Exits
GET THE BACKTEST RESULTS FOR YOUR MARKET
Backtested from 2008 to 2025 across multiple market conditions, in the currency market across all the assets.
MetricResult
CAGR 18.7%
Max Drawdown 9.4%
Sharpe Ratio 2.11
Sortino Ratio 3.05
Profit Factor 1.94
Win Rate 61%
OUR SOLUTION
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Fund Manager
Enhance portfolio performance with a risk-adjusted overlay strategy.
Retirees:
Protect your capital while generating consistent, low-volatility returns
Mutual Fund Investors:
Time your entries and exits for better compounding and reduced drawdowns.
For Institutional Clients:
📞 Schedule a Strategy Briefing → We’ll walk you through institutional deployment.
For Individual Investors:
📄 View Detailed Backtest Report → See the system in action before you decide.
Book Your Seat Now
Location
Contact Us
SCO 55, First Floor, Sector 127 Gillco Valley, Kharar, (SAS Nagar) Mohali,Punjab, India
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