- Equity
- Drawdown
Distribution
| Symbol | Deals | Sell | Buy | |
|---|---|---|---|---|
| US30 | 115 | |||
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| Symbol | Gross Profit, USD | Loss, USD | Profit, USD | |
|---|---|---|---|---|
| US30 | 235 | |||
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| Symbol | Gross Profit, pips | Loss, pips | Profit, pips | |
|---|---|---|---|---|
| US30 | 75K | |||
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- Deposit load
- Drawdown
The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "ICMarketsSC-MT5-2" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
US30 PRIME — Systematic Capital Preservation Strategy
Systematic US30 strategy focused on capital preservation. Engineered with strict risk controls intended to help limit drawdown under normal market conditions.
No Martingale. No Grid. No Averaging.
This signal is intended for experienced users who understand the risks of leveraged trading and automated signal copying.
SYSTEM OVERVIEW
US30 Prime is a systematic algorithmic trading strategy focused on structured, rule-based execution on the US30 index.
The system uses a proprietary price-action model designed to identify momentum opportunities while maintaining strict internal risk management.
Trading decisions are fully algorithmic and adapt to changing market conditions.
Primary objective: controlled, risk-managed equity progression over time.
CORE PHILOSOPHY: CAPITAL PRESERVATION FIRST
This signal is built on a risk-first architecture.
Unlike aggressive strategies designed to maximize short-term returns at high risk, US30 Prime prioritizes:
• controlled exposure
• defined risk per trade
• protection during unstable conditions
• long-term operational stability
The system uses internal position sizing logic and protective mechanisms to manage market exposure.
TRADE FREQUENCY — EXPECT SELECTIVITY
This is a selective strategy, not a high-frequency system.
Trades are opened only when predefined conditions are met.
It is normal and expected for the system to remain inactive for multiple days.
Periods of inactivity are intentional and serve as a protective filter.
No trading is often safer than forced trading.
KEY SAFETY FEATURES
Strict Risk Control
Every trade includes predefined Stop Loss and Take Profit levels.
No Dangerous Recovery Methods
No Martingale
No Grid
No Averaging
No hedging recovery systems
Adaptive Trade Management
Internal trailing logic manages open positions according to market conditions.
Market Condition Filter
Trading activity may pause automatically during unstable or unfavorable conditions.
Fully Automated Execution
No manual intervention in trade decision logic.
PERFORMANCE OBJECTIVE
The strategy is designed with focus on:
• stability over aggression
• controlled risk exposure
• consistent operational behavior
The goal is not maximum profit at maximum risk, but structured and controlled trading.
Past performance does not guarantee future results.
SUBSCRIBER REQUIREMENTS (IMPORTANT)
Minimum balance: $200
Recommended balance: $500+
Leverage: 1:200 or higher recommended
Broker type: ECN / Raw spread account recommended
VPS: Strongly recommended for optimal signal copying and execution reliability
High latency may result in missed or delayed trades.
COPY SETTINGS GUIDELINES
Subscribers control their own risk via copy ratio and account size.
Typical configurations:
Conservative exposure: 50% copy ratio
Standard exposure: 95–100% copy ratio
Higher exposure increases risk.
Risk management remains the subscriber’s responsibility.
IMPORTANT SUBSCRIBER INFORMATION
This is a signal service, NOT a managed account.
The provider does not access or control subscriber funds.
Subscribers retain full control of their accounts at all times.
Manual interference with trades may significantly alter results.
Execution differences between accounts are normal due to:
• broker differences
• spreads
• slippage
• latency
• execution speed
• symbol specifications
Identical results are not guaranteed.
LOW LEVERAGE NOTICE
Accounts with low leverage and small balances may experience differences in position scaling or partial trade management due to broker volume limitations.
This is normal platform behavior.
FREQUENTLY ASKED QUESTIONS
Why are there no trades sometimes?
The system trades only when conditions meet internal criteria. Periods without trades are normal.
Is Martingale or Grid used?
No. The strategy does not use Martingale, Grid, or averaging.
Why are my results slightly different?
Execution differences between brokers and account configurations are normal.
DISCLAIMER & RISK DISCLOSURE
Trading leveraged financial instruments involves substantial risk and may result in partial or complete loss of capital.
This signal is provided for informational and technical copying purposes only and does not constitute investment advice or financial advisory services.
Past performance does not guarantee future results.
By subscribing, you acknowledge that you make independent trading decisions and accept full responsibility for your account and outcomes.
Trade results may vary due to broker execution, spreads, slippage, latency, VPS performance, leverage, and account configuration.
The provider shall not be held liable for any losses resulting from the use of this signal.
Signal availability may be affected by technical or platform interruptions.
Subscribers are responsible for ensuring compliance with their local financial regulations.
By subscribing, you confirm that you understand and accept all risks associated with automated signal copying via the MetaTrader 5 platform.
FINAL NOTE
This signal is designed for disciplined, risk-aware users seeking structured algorithmic exposure to the US30 index.
Patience, proper configuration, and risk control are essential.
⚠️ Important Note for Low Leverage (less than 1:200) and Low-Balance (less than $1,000) Accounts. Partial Close operations may not execute on accounts with strict leverage limits (e.g., Australia, EU, UK, Japan) and a balance under $1,000. This happens because micro-lots required for partial closes (e.g., 0.001) may not be allowed by the broker, so the full position may remain open until the final exit. The strategy logic stays the same, but risk is higher since position size does not decrease. A higher balance ensures proper partial-close execution.
Will need more time for further review. One week performance looks ok.