est. 2018

ML Algo

Professional trading since 2018. Machine learning algorithms, transparent statistics, results regardless of market cycles.

17,606% Return
7.8 Sharpe
98% Win Rate
9,517 Trades

Our Statistics

0%

Total Return

0%

CAGR

Equity Curve

Win Rate

0%
Wins Losses

Max Drawdown

0% Safe zone

0

Sharpe Ratio

0%

Win Rate

0%

Max Drawdown

0

Total Trades

Since 2018

We are a team of traders and crypto market enthusiasts.

Experience, mistakes, and victories allowed us to create our own trading history database, updated in real time.

Database 24/7 Updates

About Us

We develop trading tools and share our results. Our approach is based on research and continuous improvement.

  • Research and development
  • Transparent approach
  • Continuous improvement
  • Open to dialogue

Development & Automation

2018

Start

Beginning of the journey, gaining experience

2022

First Product

ML application for personal use

2024

Public Statistics

Transparency for smart money

Years of developing automation systems and proprietary trading strategies led to an application with machine learning algorithms. Since 2024 — a public account for transparent statistics.

Strategy Overview

< 3 days

Average holding period

200+ pairs

Cryptocurrencies (BTC, ETH and 200+ pairs)

Long/short

Trading Style

$40 mln

Strategy volume (NDA)

ML + proprietary database Since 2018

ML algorithm with proprietary database from 2018 in a symbiosis of a team of traders and our strategies , combining the momentum effect and mean reversion approach, structured to capitalize on short-term market movements. Performs exceptionally well in conditions of frequent pullbacks and flat .

This fund manages trading on behalf of clients via an API connection to their exchange sub-accounts and no client funds are held.

Execution Map

momentum effect

mean reversion approach

short-term market movements

Strategy Overview

Strategy Type
Momentum and mean reversion, systematic
Asset class
Cryptocurrencies (BTC, ETH and 200+ pairs)
Average holding period
< 3 days
Trading Style
Long/short, flexible directional
Portfolio
Systematic, diversified by time frame
Trading logic
The strategy is focused on trading local trends, volatility spikes and return to the average value on highly liquid instruments. Each trade carries a fixed risk - losing positions are never averaged, and free deposit is always maximized by profits from other trades.

Management Terms

API-based strategy management on your exchange sub-account

Minimum allocation
~$8000
Performance fee
30%
Distribution of remuneration
Automatically
Structure
API

Trading Assets

Trading Assets
Cryptocurrencies (BTC, ETH)
Collateral
USDT / BTC / ETH (any token for portfolio margin)
Strategy volume
$40 mln (NDA)

Who Is This Product For

Automated
40%

30–50% annually

Stable returns on substantial amounts — stress-free, regardless of market conditions.

Bear market Flat
Manual Mode
100%+

100%+ annually

Professional traders with manual capital management achieve 100%+ — a less conservative approach.

Manual MM More aggressive

Approach Comparison

30–50%

Automated

100%+

Manual Mode

Low

Risk (auto)

Adjustable

Risk (manual)

Important Information

The volume of funds we manage is confidential information. The amounts on the public account are intentionally modest — we focus on transparent statistics, not on demonstrating PnL.

If your fund volume is in the nine-figure range, contact us — we will individually adapt the software to your account and trade entry parameters.

Contact Us