Description
🚀 From University Lab to Live Trading: A Dual-Verified Algorithmic Breakthrough
Developed by a FinTech Student | Seeking Capital Allocation Partners
🎯 Strategy Overview
Welcome to my rigorously tested Bollinger Bands Mean Reversion Momentum Strategy - a cBot that has delivered exceptional performance in both extensive historical backtesting AND real-time live market execution. As a FinTech student, I've engineered this algorithm to master short-term EURUSD movements through sophisticated dual-layer logic, proving its edge in two distinct environments.
Proven Performance: Backtest & Live Validation
🧪 22-Month Backtest Results (01/2024-10/2025):
- Net Profit: $23,129
- Return on $1,000: +2,300%
- Profit Factor: 1.2+
- Total Trades: 2,800+
- Performance Breakdown: Profitable on both Long ($9,180) and Short ($13,950) positions
- Controlled Risk: Largest Win ($368) > Largest Loss ($357)
✅ Live Trading Results (start from 1/11/2025):
- Net Profit: $892
- Profit Factor: 1.3+
- Total Trades: 60
- Win Rate: 56.6% (34 Winning Trades)
- Performance Breakdown: Profitable on both Long ($727) and Short ($164) positions
- Controlled Risk: Largest Win ($218) > Largest Loss ($126)
- Maximum Drawdown: 8.4%
- Traded Volume: $7.1 Million
The live results are the ultimate validation, confirming the model's economic edge and showcasing a superior profit factor compared to backtesting.
🔬 The Algorithmic Advantage
My cBot operates on the M3 timeframe, utilizing:
- Bollinger Band Extremes for identifying overbought/oversold conditions.
- Momentum Filtering to confirm only high-probability genuine reversals.
- Automated Risk Management to protect capital during volatile or anomalous market moves.
🎓 Why Partner With Me?
As a FinTech student, I bring:
- Academic Rigor through research-driven strategy development.
- Technical Excellence with professional-grade coding standards.
- Transparent Reporting with full validation from both backtest and live data.
- Active Management for continuous optimization based on real-world results.
🌟 Crowdfunding Opportunity
I am seeking strategic capital partners to scale this dual-verified, live-proven strategy. Your investment will be allocated to:
- Increasing Position Sizing to compound returns from the proven live baseline.
- Further research and development to enhance the algorithm using new live market insights.
- Portfolio Diversification across additional financial instruments.
- Scaling Proven Performance into a substantial asset base.
THE FIRST 5 COPIES WILL BE SOLD AT 29USD.
Summary
Backtested over 22 months (January 2024 to October 2025), the strategy achieved a net profit of $23,129 on a $1,000 initial investment, representing a 2,300% return with a profit factor above 1.2 across more than 2,800 trades. It demonstrated profitability in both long and short positions, with controlled risk where the largest winning trade exceeded the largest loss.
Live trading results starting November 2025 show a net profit of $892, a profit factor above 1.3, and a 56.6% win rate over 60 trades. The largest win was $218 compared to a largest loss of $126, with a maximum drawdown of 8.4% and a traded volume of $7.1 million. These live results validate the strategy’s economic edge and performance consistency.
Developed by a FinTech student, the bot emphasizes academic rigor, professional coding standards, transparent reporting, and active management for ongoing optimization.
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