Configure and deploy your trading strategy parameters across all connected markets
Strategy Selection
Choose a preset or configure a custom strategy
RSI Mean Reversion v2
Fade extremes, mean revert
EMA Crossover 9/21
Trend following momentum
MACD Divergence
Hidden divergence entries
Breakout London Open
Session breakout strategy
Custom Strategy
Start from scratch
Select which exchange/pair combinations this strategy will trade on
Entry Conditions
Configure indicator parameters and entry trigger logic
RSI Parameters
Lookback bars
Buy signal below
Sell signal above
MACD Parameters
EMA Crossover
Secondary condition that must be met before entering a trade
Exit Rules
Take profit, stop loss, and trailing stop configuration
How the TP level is calculated
e.g. 2.0 = 1:2 R:R, or 50 pips
How the SL level is calculated
e.g. 1.5 = 1.5× ATR, or 30 pips
Trailing Stop
Automatically move SL in profit direction
ATR multiple behind price
Move SL to entry when R:R reaches
Position Sizing
Risk per trade, lot size mode, and concurrent position limits
Percentage of account balance risked on each trade
How position size is calculated
Total open positions across all markets
Limit same-symbol exposure
Risk Calculator
Account Size
$25,000
Risk Per Trade
$250
Max Exposure
$1250
Pyramiding
Allow adding to winning positions (scale in)
Risk Guards
Daily loss limits, drawdown kill switch, and session filters
Bot stops trading for the day when this drawdown is hit
Bot stops permanently until manually reset. Applies to peak-to-trough account equity.
UTC time
Skip entry if spread exceeds this value
Avoid High-Impact News
Pause trading 15 min before and after scheduled news events (NFP, FOMC, CPI)
Deploying will apply this config to all selected markets immediately