Ramon Eduardo Olmos Acosta / Профиль
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shangai
I am a quantitative algorithm developer and automated trading systems engineer, specializing in the design, development, and optimization of systematic strategies for the financial markets. My work is focused on researching high-precision quantitative models, implementing systematic risk management, and developing technology-driven solutions designed for consistency, scalability, and long-term performance.
Over the past several years, I have dedicated a significant portion of my work to studying market microstructure, Expert Advisor (EA) architecture, advanced parameter optimization, and rigorous strategy validation through extensive backtesting and controlled testing environments. My approach combines quantitative analysis, software engineering, and a philosophy of continuous improvement to build robust trading systems capable of adapting to changing market conditions.
As the founder of **Luxor Holdings** and the driving force behind **Luxor Capital Partners**, my vision is to establish a quantitative asset management firm recognized for its operational discipline, transparency, and unwavering commitment to excellence. My objective is to deliver algorithm-driven investment solutions supported by auditable processes, prudent risk management, and fully systematic execution.
My professional philosophy is founded on the belief that sustainable success is achieved through evidence, statistical validation, and disciplined execution—not intuition. I view every algorithm as the result of thousands of hours of research, testing, refinement, and optimization, where every detail contributes to building a measurable competitive advantage.
Beyond software development, I maintain a mindset centered on technological innovation and lifelong learning. I continuously seek new methodologies, tools, and quantitative models that enhance the performance of automated trading systems without compromising robustness or risk control.
My long-term mission is to build a quantitative infrastructure capable of operating at institutional standards by integrating software engineering, financial analysis, and automation to deliver long-term investment solutions founded on data, objectivity, and disciplined execution.
Over the past several years, I have dedicated a significant portion of my work to studying market microstructure, Expert Advisor (EA) architecture, advanced parameter optimization, and rigorous strategy validation through extensive backtesting and controlled testing environments. My approach combines quantitative analysis, software engineering, and a philosophy of continuous improvement to build robust trading systems capable of adapting to changing market conditions.
As the founder of **Luxor Holdings** and the driving force behind **Luxor Capital Partners**, my vision is to establish a quantitative asset management firm recognized for its operational discipline, transparency, and unwavering commitment to excellence. My objective is to deliver algorithm-driven investment solutions supported by auditable processes, prudent risk management, and fully systematic execution.
My professional philosophy is founded on the belief that sustainable success is achieved through evidence, statistical validation, and disciplined execution—not intuition. I view every algorithm as the result of thousands of hours of research, testing, refinement, and optimization, where every detail contributes to building a measurable competitive advantage.
Beyond software development, I maintain a mindset centered on technological innovation and lifelong learning. I continuously seek new methodologies, tools, and quantitative models that enhance the performance of automated trading systems without compromising robustness or risk control.
My long-term mission is to build a quantitative infrastructure capable of operating at institutional standards by integrating software engineering, financial analysis, and automation to deliver long-term investment solutions founded on data, objectivity, and disciplined execution.
Ramon Eduardo Olmos Acosta
Опубликовал MetaTrader 4 сигнал
(Luxury Life) Description: The Luxury Life strategy represents a disciplined and intelligent approach to financial growth. Its objective is simple: build consistent performance while protecting capital and managing risk with precision. Through a structured methodology based on data analysis, market behavior, and strategic decision-making, the strategy seeks to identify high-probability opportunities while maintaining strict risk control. Luxury Life is not about reckless speculation. It is about
Ramon Eduardo Olmos Acosta
(Luxury Life) ("Investor Access Portal — Private area for authorized clients and copy trading participants.")
https://ic.com/open-trading-account/live/?camp=94491
Description:
The Luxury Life strategy represents a disciplined and intelligent approach to financial growth. Its objective is simple: build consistent performance while protecting capital and managing risk with precision.
Through a structured methodology based on data analysis, market behavior, and strategic decision-making, the strategy seeks to identify high-probability opportunities while maintaining strict risk control.
Luxury Life is not about reckless speculation.
It is about precision, patience, and sustainability.
The vision behind this strategy is to transform disciplined trading into a path toward financial independence and a lifestyle defined by freedom, stability, and long-term prosperity.
Luxury Life — where strategy meets vision.
(Risk Warning: Trading Derivatives carries a high level of risk to your capital and you should only trade with money you can afford to lose. Trading Derivatives may not be suitable for all investors, so please ensure that you fully understand the risks involved, and seek independent advice if necessary.)
https://ic.com/open-trading-account/live/?camp=94491
Description:
The Luxury Life strategy represents a disciplined and intelligent approach to financial growth. Its objective is simple: build consistent performance while protecting capital and managing risk with precision.
Through a structured methodology based on data analysis, market behavior, and strategic decision-making, the strategy seeks to identify high-probability opportunities while maintaining strict risk control.
Luxury Life is not about reckless speculation.
It is about precision, patience, and sustainability.
The vision behind this strategy is to transform disciplined trading into a path toward financial independence and a lifestyle defined by freedom, stability, and long-term prosperity.
Luxury Life — where strategy meets vision.
(Risk Warning: Trading Derivatives carries a high level of risk to your capital and you should only trade with money you can afford to lose. Trading Derivatives may not be suitable for all investors, so please ensure that you fully understand the risks involved, and seek independent advice if necessary.)
Ramon Eduardo Olmos Acosta
Опубликовал MetaTrader 4 сигнал
Luxor Quant Capital is the quantitative trading division of the Luxor ecosystem, integrating systematic strategies, disciplined risk management, and advanced algorithmic execution. Built on data-driven decision making, our mission is to deliver consistent, transparent, and professional portfolio management through cutting-edge quantitative research and technology. Monitoring and track record available for Copy Trading and PAMM with our preferred broker
Ramon Eduardo Olmos Acosta
– Luxor Holdings & Luxor Capital Partners
We operate a dual PAMM structure designed for systematic and algorithmic trading in the XAU/USD (Gold) market.
Our approach is built on a strict **capital preservation first philosophy**, combined with a fully **systematic trading framework** and **algorithm-driven execution**.
### Strategy Overview
We manage two complementary investment profiles:
* **LUXOR CAPITAL PARTNERS (MT5):**
A more advanced execution environment with expanded API integration, permissions, and optimized programming logic. This profile is designed to adapt more efficiently to market volatility and capture enhanced return opportunities under specific conditions.
* **LUXOR HOLDINGS (MT4):**
A parallel strategy that also operates under the PAMM system, offering structural diversification while maintaining correlation to the same underlying asset (Gold / XAUUSD).
### Risk Management
Both strategies operate under strict and predefined risk parameters, including:
* Controlled exposure per trade
* Systematic risk allocation
* Continuous performance monitoring
* No discretionary emotional trading
Our priority is not aggressive risk-taking, but **consistent and controlled performance over time**.
### Key Principles
* Capital preservation is the primary objective
* All decisions are data-driven and system-executed
* Performance is transparent and continuously audited
* Diversification is achieved through execution differences, not asset variation
### Final Note
While both strategies are correlated to the same underlying market (Gold), their execution logic and structural behavior differ, allowing for additional diversification benefits within a unified portfolio approach.
We focus on long-term consistency rather than unrealistic short-term returns.
---
1) https://www.instaforex.com/forex_monitoring/15886129?x=TPUNL
2) https://www.instaforex.com/forex_monitoring/9209464?x=TPUNL
We operate a dual PAMM structure designed for systematic and algorithmic trading in the XAU/USD (Gold) market.
Our approach is built on a strict **capital preservation first philosophy**, combined with a fully **systematic trading framework** and **algorithm-driven execution**.
### Strategy Overview
We manage two complementary investment profiles:
* **LUXOR CAPITAL PARTNERS (MT5):**
A more advanced execution environment with expanded API integration, permissions, and optimized programming logic. This profile is designed to adapt more efficiently to market volatility and capture enhanced return opportunities under specific conditions.
* **LUXOR HOLDINGS (MT4):**
A parallel strategy that also operates under the PAMM system, offering structural diversification while maintaining correlation to the same underlying asset (Gold / XAUUSD).
### Risk Management
Both strategies operate under strict and predefined risk parameters, including:
* Controlled exposure per trade
* Systematic risk allocation
* Continuous performance monitoring
* No discretionary emotional trading
Our priority is not aggressive risk-taking, but **consistent and controlled performance over time**.
### Key Principles
* Capital preservation is the primary objective
* All decisions are data-driven and system-executed
* Performance is transparent and continuously audited
* Diversification is achieved through execution differences, not asset variation
### Final Note
While both strategies are correlated to the same underlying market (Gold), their execution logic and structural behavior differ, allowing for additional diversification benefits within a unified portfolio approach.
We focus on long-term consistency rather than unrealistic short-term returns.
---
1) https://www.instaforex.com/forex_monitoring/15886129?x=TPUNL
2) https://www.instaforex.com/forex_monitoring/9209464?x=TPUNL
Ramon Eduardo Olmos Acosta
Опубликовал MetaTrader 4 сигнал
"LUXOR HOLDINGS Quantitative PAMM" недоступен
Ramon Eduardo Olmos Acosta
Опубликовал MetaTrader 5 сигнал
Luxor Capital Partner – Quantitative PAMM Strategy Introduction Luxor Capital Partner is a strategy developed after years of research, optimization, and experience in algorithmic trading. Our approach is based on quantitative models designed to operate with strict discipline, eliminating emotional influence while prioritizing long-term consistency. The strategy was created with the objective of delivering stable capital growth through strict risk management. Strategy Details Trading operations
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