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RangoLondre_powerT
09/12/2025
Desktop, Mobile, Web
Since 12/11/2025
Traded volume
490.58K
Pips won
1.09K
"RangoLondre_powerT" uploaded image"RangoLondre_powerT" uploaded image"RangoLondre_powerT" uploaded image"RangoLondre_powerT" uploaded image"RangoLondre_powerT" uploaded image

London Range Power Strategy

The London Range Power Strategy is a session-driven trading system designed to capture high-probability moves during the most active market hours. It automatically identifies the London range and trades later in the day when volatility aligns with optimal conditions.

Backtests from 2019 to 2025 show consistent profitability, with strong performance during high-volume months such as January, May, July and November, and stable long-term growth when applied strictly to US30 with the recommended parameters. The system also adapts its risk dynamically throughout the year, smoothing performance during historically weaker months like March, April and September.

This strategy operates using compound interest, meaning the position sizing scales automatically with account growth. For this reason, it is recommended to turn it on and let it run continuously, allowing the compounding effect to generate exponential long-term results. Historical tests show a maximum drawdown of 26%, making it suitable for real accounts when used with proper risk settings.

Users are encouraged to run their own backtests before going live. When applied correctly, this strategy has proven to be highly profitable over the long term, especially when left operating without manual intervention.

Perfect for traders seeking a fully automated, time-based system with strong historical performance, disciplined execution, and long-term compounding potential.


ONLY FOR US30! 53,7% WIN RATE.

Strategy Parameters

  • Risk % (Default): 1
  • Stop Loss (pips): 60.2
  • Take Profit (pips): 121.5
  • London Range Start Hour: 12
  • London Range End Hour: 19
  • Trade Window Start (Hour): 17
  • Trade Window Start (Minute): 30
  • Trade Window End (Hour): 20
  • Trade Window End (Minute): 4
  • Pullback Margin (points): 3

Monthly Risk Settings

  • Riesgo Enero: 2
  • Riesgo Febrero: 4.6
  • Riesgo Marzo: 1
  • Riesgo Abril: 2
  • Riesgo Mayo: 4.6
  • Riesgo Junio: 2
  • Riesgo Julio: 4.6
  • Riesgo Agosto: 4.6
  • Riesgo Septiembre: 0.1
  • Riesgo Octubre: 2
  • Riesgo Noviembre: 4.6
  • Riesgo Diciembre: 0.1


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