September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026

$15,969 average monthly profit with a 160% return on drawdown!

The Fix

MGC London Fade
MGC · London open — the London fade on gold
160%per month · avg monthly return on drawdown 962% return on drawdown over 6 months Return on drawdown = net profit ÷ maximum drawdown over the window, shown per month of the record. $48,100 on a $5,000 drawdown Shown at Multiplier 44 · drawdown held under $10,000 · RoDD is size-independent Buy now — $200/mo30% off · code SEPT30

This strategy was optimized from 01 Jan 2026 to 04 Aug 2026. 02 Feb 2026 to 04 Aug 2026 is the best return-on-drawdown timeframe we have, and it is the window displayed on the chart and in the figures on this page.

Feb 2, 2026 — Aug 4, 2026DEEP 25 K USD 4 ticks per bar On bar close The FixMGC · MGC London Fade
Key stats
Total PnL+95,814.40 USD+383.26%
Max drawdown9,961.60 USD39.85%
Profitable trades77.46%55/71
Profit factor2.522
Performancei
Cumulative PnL Buy and hold Trades excursions Run-ups and drawdowns
0.0020,000.0040,000.0060,000.0080,000.00100,000.001121Mar1323Apr1222May1222Jun1121Jul1121 95,814.40 Feb 1, 2026 0.00 USDFeb 2, 2026 +2,886.40 USDFeb 4, 2026 +5,772.80 USDFeb 5, 2026 +1,839.20 USDFeb 6, 2026 +4,725.60 USDFeb 9, 2026 +7,612.00 USDFeb 10, 2026 +10,498.40 USDFeb 12, 2026 +13,384.80 USDFeb 18, 2026 +9,451.20 USDFeb 19, 2026 +12,337.60 USDFeb 20, 2026 +8,404.00 USDFeb 23, 2026 +4,470.40 USDFeb 25, 2026 +7,356.80 USDFeb 26, 2026 +10,243.20 USDFeb 27, 2026 +13,129.60 USDMar 2, 2026 +16,016.00 USDMar 3, 2026 +18,902.40 USDMar 4, 2026 +21,788.80 USDMar 6, 2026 +24,675.20 USDMar 9, 2026 +27,561.60 USDMar 11, 2026 +30,448.00 USDMar 16, 2026 +33,334.40 USDMar 18, 2026 +36,220.80 USDMar 20, 2026 +39,107.20 USDMar 23, 2026 +41,993.60 USDMar 26, 2026 +44,880.00 USDMar 27, 2026 +40,946.40 USDApr 2, 2026 +43,832.80 USDApr 7, 2026 +46,719.20 USDApr 8, 2026 +49,605.60 USDApr 15, 2026 +52,492.00 USDApr 16, 2026 +48,558.40 USDApr 17, 2026 +51,444.80 USDApr 22, 2026 +47,511.20 USDApr 23, 2026 +43,577.60 USDApr 24, 2026 +46,464.00 USDApr 28, 2026 +49,350.40 USDApr 29, 2026 +52,236.80 USDMay 4, 2026 +55,123.20 USDMay 8, 2026 +58,009.60 USDMay 11, 2026 +60,896.00 USDMay 14, 2026 +63,782.40 USDMay 25, 2026 +66,668.80 USDMay 26, 2026 +69,555.20 USDJun 1, 2026 +72,441.60 USDJun 2, 2026 +75,328.00 USDJun 3, 2026 +78,214.40 USDJun 10, 2026 +74,280.80 USDJun 11, 2026 +77,167.20 USDJun 15, 2026 +73,233.60 USDJun 16, 2026 +69,300.00 USDJun 19, 2026 +72,186.40 USDJun 22, 2026 +68,252.80 USDJun 23, 2026 +71,139.20 USDJun 24, 2026 +74,025.60 USDJun 25, 2026 +76,912.00 USDJun 26, 2026 +79,798.40 USDJun 30, 2026 +82,684.80 USDJul 6, 2026 +85,571.20 USDJul 7, 2026 +88,457.60 USDJul 8, 2026 +84,524.00 USDJul 10, 2026 +80,590.40 USDJul 13, 2026 +83,476.80 USDJul 15, 2026 +86,363.20 USDJul 20, 2026 +82,429.60 USDJul 21, 2026 +85,316.00 USDJul 22, 2026 +88,202.40 USDJul 24, 2026 +91,088.80 USDJul 28, 2026 +93,975.20 USDJul 30, 2026 +90,041.60 USDAug 3, 2026 +92,928.00 USDAug 4, 2026 +95,814.40 USD
Trades
Largest profit+2,886.40 USD+0.14%
Largest loss−3,933.60 USD−0.18%
Long trades3976.92% · +51,189.60 USD
Short trades3278.12% · +44,624.80 USD
Profit factor2.522
Commission load2.95%4,686.00 USD
Trades distribution
71 Total trades
  • Winners55 trades77.46%
  • Losers16 trades22.54%
  • Breakevens0 trades0.00%

Figures: best window Feb 2, 2026 → Aug 4, 2026 (71 closed trades) at Multiplier 44, stated against 25 K USD initial capital. Chart: the best window, Feb 2, 2026 → Aug 4, 2026 (71 trades); the full record (Nov 6, 2025 → Aug 4, 2026, 103 trades) is in the List of trades. Commissions and slippage modeled.

Performance analysis
Gross profit158,752.00 USD635.01%
Gross loss62,937.60 USD251.75%
Profit factor2.522
Commission load2.95%4,686.00 USD
Profits and lossesi
All signals+95,814.40 USD
London fade long+51,189.60 USD
London fade short+44,624.80 USD
All+95,814.40 USD
Long+51,189.60 USD
Short+44,624.80 USD
Monthly results across the best window
PeriodNet PnLReturnTradesProfitableProfit factorMax drawdown
Feb 2026+13,129.60 USD+52.52%1471.43%1.834−8,914.40 USD
Mar 2026+27,816.80 USD+111.27%1291.67%8.072−3,933.60 USD
Apr 2026+11,290.40 USD+45.16%1172.73%1.957−8,914.40 USD
May 2026+17,318.40 USD+69.27%6100.00%0.0000.00 USD
Jun 2026+13,129.60 USD+52.52%1471.43%1.834−9,961.60 USD
Jul 2026+7,356.80 USD+29.43%1266.67%1.468−7,867.20 USD
Aug 2026+5,772.80 USD+23.09%2100.00%0.0000.00 USD

Return is the month’s net over the 25 K USD initial capital. Drawdown is the month’s own closed-trade drawdown.

Figures: best window Feb 2, 2026 → Aug 4, 2026 (71 closed trades) at Multiplier 44, stated against 25 K USD initial capital. Chart: the best window, Feb 2, 2026 → Aug 4, 2026 (71 trades); the full record (Nov 6, 2025 → Aug 4, 2026, 103 trades) is in the List of trades. Commissions and slippage modeled.

Trades analysis
Expected payoff1,349.50 USD0.06%
Outliers PnL0.00 USD0.00%
Largest profit+2,886.40 USD+0.14%
Largest loss−3,933.60 USD−0.18%
Returns distribution
-0.25% to -0.20%: 8 trades-0.20% to -0.15%: 8 trades0.10% to 0.15%: 38 trades0.15% to 0.20%: 17 trades-0.25%-0.15%0.00%0.20%

Losers Winners |Average loss −0.20% Average profit 0.14%

Trades distribution
71 Total trades
  • Winners55 trades77.46%
  • Losers16 trades22.54%
  • Breakevens0 trades0.00%
Longest winning streak14 trades+40,409.60 USD
Longest losing streak2 trades−7,867.20 USD
Average winning streak4.2 trades13 streaks
Average losing streak1.3 trades12 streaks
Winning and losing streaks
024681012142
$0$10k$20k$30k$40k

One bar per closed trade in exit order across the best window: each bar's height is the length of the streak the trade is part of so far (Count) or that streak's running net (Amount).

Trades analysis details, best window
MetricAll tradesReturn
Avg trade1,349.50 USD0.06%
Avg winning trade2,886.40 USD
Avg losing trade−3,933.60 USD
Ratio avg win / avg loss0.734
Largest winning trade2,886.40 USD0.14%
Largest losing trade−3,933.60 USD−0.18%

Bars-in-trade rows are omitted: the published record carries hour-level times, not bar counts.

Figures: best window Feb 2, 2026 → Aug 4, 2026 (71 closed trades) at Multiplier 44, stated against 25 K USD initial capital. Chart: the best window, Feb 2, 2026 → Aug 4, 2026 (71 trades); the full record (Nov 6, 2025 → Aug 4, 2026, 103 trades) is in the List of trades. Commissions and slippage modeled.

Every closed trade in the validated record, newest first, with a running account ledger
Trade #DateSideEntry priceExit priceProfitCumulative profit
10304 Aug 26Short4126.94120.1$2,886.40$121,563.20
10203 Aug 26Long4109.24116.0$2,886.40$118,676.80
10130 Jul 26Short4117.44126.1-$3,933.60$115,790.40
10028 Jul 26Short4116.04109.2$2,886.40$119,724.00
9924 Jul 26Short4122.74115.9$2,886.40$116,837.60
9822 Jul 26Short4187.84181.0$2,886.40$113,951.20
9721 Jul 26Long4127.24134.0$2,886.40$111,064.80
9620 Jul 26Short4077.04085.7-$3,933.60$108,178.40
9515 Jul 26Long4088.54095.3$2,886.40$112,112.00
9413 Jul 26Short4142.34135.5$2,886.40$109,225.60
9310 Jul 26Long4173.34164.6-$3,933.60$106,339.20
9208 Jul 26Long4179.14170.4-$3,933.60$110,272.80
9107 Jul 26Short4210.14203.3$2,886.40$114,206.40
9006 Jul 26Short4232.14225.3$2,886.40$111,320.00
8930 Jun 26Short4110.84104.0$2,886.40$108,433.60
8826 Jun 26Short4117.44110.6$2,886.40$105,547.20
8725 Jun 26Short4074.64067.8$2,886.40$102,660.80
8624 Jun 26Long4157.74164.5$2,886.40$99,774.40
8523 Jun 26Long4173.34180.1$2,886.40$96,888.00
8422 Jun 26Short4284.24292.9-$3,933.60$94,001.60
8319 Jun 26Short4249.64242.8$2,886.40$97,935.20
8216 Jun 26Short4416.14424.8-$3,933.60$95,048.80
8115 Jun 26Short4405.34414.0-$3,933.60$98,982.40
8011 Jun 26Short4187.04180.2$2,886.40$102,916.00
7910 Jun 26Long4270.84262.1-$3,933.60$100,029.60
7803 Jun 26Long4537.44544.2$2,886.40$103,963.20
7702 Jun 26Long4615.84622.6$2,886.40$101,076.80
7601 Jun 26Long4582.44589.2$2,886.40$98,190.40
7526 May 26Long4611.74618.5$2,886.40$95,304.00
7425 May 26Long4651.44658.2$2,886.40$92,417.60
7314 May 26Short4811.34804.5$2,886.40$89,531.20
7211 May 26Long4770.04776.8$2,886.40$86,644.80
7108 May 26Long4806.14812.9$2,886.40$83,758.40
7004 May 26Long4682.64689.4$2,886.40$80,872.00
6929 Apr 26Long4672.54679.3$2,886.40$77,985.60
6828 Apr 26Long4723.74730.5$2,886.40$75,099.20
6724 Apr 26Short4800.74793.9$2,886.40$72,212.80
6623 Apr 26Long4808.34799.6-$3,933.60$69,326.40
6522 Apr 26Long4870.64861.9-$3,933.60$73,260.00
6417 Apr 26Short4912.24905.4$2,886.40$77,193.60
6316 Apr 26Long4930.14921.4-$3,933.60$74,307.20
6215 Apr 26Long4909.14915.9$2,886.40$78,240.80
6108 Apr 26Long4917.54924.3$2,886.40$75,354.40
6007 Apr 26Long4760.14766.9$2,886.40$72,468.00
5902 Apr 26Short4765.84759.0$2,886.40$69,581.60
5827 Mar 26Long4557.64548.9-$3,933.60$66,695.20
5726 Mar 26Long4544.84551.6$2,886.40$70,628.80
5623 Mar 26Short4436.94430.1$2,886.40$67,742.40
5520 Mar 26Short4861.14854.3$2,886.40$64,856.00
5418 Mar 26Long5109.55116.3$2,886.40$61,969.60
5316 Mar 26Long5107.65114.4$2,886.40$59,083.20
5211 Mar 26Long5313.25320.0$2,886.40$56,196.80
5109 Mar 26Long5222.65229.4$2,886.40$53,310.40
5006 Mar 26Long5234.25241.0$2,886.40$50,424.00
4904 Mar 26Short5332.55325.7$2,886.40$47,537.60
4803 Mar 26Long5445.25452.0$2,886.40$44,651.20
4702 Mar 26Long5534.45541.2$2,886.40$41,764.80
4627 Feb 26Long5314.85321.6$2,886.40$38,878.40
4526 Feb 26Long5311.85318.6$2,886.40$35,992.00
4425 Feb 26Short5342.75335.9$2,886.40$33,105.60
4323 Feb 26Short5296.65305.3-$3,933.60$30,219.20
4220 Feb 26Short5174.25182.9-$3,933.60$34,152.80
4119 Feb 26Short5164.05157.2$2,886.40$38,086.40
4018 Feb 26Long5066.45057.7-$3,933.60$35,200.00
3912 Feb 26Long5202.95209.7$2,886.40$39,133.60
3810 Feb 26Short5203.15196.3$2,886.40$36,247.20
3709 Feb 26Short5187.15180.3$2,886.40$33,360.80
3606 Feb 26Short5026.95020.1$2,886.40$30,474.40
3505 Feb 26Long5029.35020.6-$3,933.60$27,588.00
3404 Feb 26Long5207.45214.2$2,886.40$31,521.60
3302 Feb 26Short4845.74838.9$2,886.40$28,635.20
3230 Jan 26Long5254.85234.2-$9,169.60$25,748.80
3129 Jan 26Long5650.35641.6-$3,933.60$34,918.40
3027 Jan 26Short5257.15250.3$2,886.40$38,852.00
2923 Jan 26Long5098.75090.0-$3,933.60$35,965.60
2821 Jan 26Short5040.65033.8$2,886.40$39,899.20
2720 Jan 26Short4906.44899.6$2,886.40$37,012.80
2616 Jan 26Long4767.64774.4$2,886.40$34,126.40
2515 Jan 26Short4780.14788.8-$3,933.60$31,240.00
2407 Jan 26Short4647.64640.8$2,886.40$35,173.60
2306 Jan 26Short4644.44637.6$2,886.40$32,287.20
2205 Jan 26Short4606.14614.8-$3,933.60$29,400.80
2102 Jan 26Short4568.74561.9$2,886.40$33,334.40
2031 Dec 25Long4484.24491.0$2,886.40$30,448.00
1930 Dec 25Long4532.34539.1$2,886.40$27,561.60
1826 Dec 25Short4715.14708.3$2,886.40$24,675.20
1724 Dec 25Short4685.54678.7$2,886.40$21,788.80
1619 Dec 25Short4521.14514.3$2,886.40$18,902.40
1515 Dec 25Short4547.84541.0$2,886.40$16,016.00
1412 Dec 25Short4499.24507.9-$3,933.60$13,129.60
1311 Dec 25Short4414.94408.1$2,886.40$17,063.20
1209 Dec 25Short4386.54395.2-$3,933.60$14,176.80
1105 Dec 25Long4410.74417.5$2,886.40$18,110.40
1004 Dec 25Short4395.94389.1$2,886.40$15,224.00
903 Dec 25Long4395.24402.0$2,886.40$12,337.60
801 Dec 25Short4460.54453.7$2,886.40$9,451.20
724 Nov 25Short4269.04277.7-$3,933.60$6,564.80
621 Nov 25Short4256.04249.2$2,886.40$10,498.40
519 Nov 25Short4298.34307.0-$3,933.60$7,612.00
418 Nov 25Short4245.64238.8$2,886.40$11,545.60
317 Nov 25Long4280.14286.9$2,886.40$8,659.20
212 Nov 25Short4335.24328.4$2,886.40$5,772.80
106 Nov 25Short4228.34221.5$2,886.40$2,886.40

Every closed trade in the validated record · Newest first · Account is cumulative net from zero.

Download the trade list for this window (CSV, 71 trades)

Buy now — $200/mo30% off · code SEPT30TradingView invite-only script · activated within 24 hours · cancel any time
Sizing 962%

RoDD is the metric this catalog is priced on. Net profit divided by the worst peak-to-valley drawdown: this system’s window (6 months) returned 962% on its drawdown. Shown at Multiplier 44; one multiple draws down $322 at worst (full record).

This amount is your DRAWDOWN BUDGET, not your account size.

We recommend the drawdown never exceeds 25% of your account balance (a $2,500 drawdown budget means a $10,000 account or more). Raising the Multiplier raises profit and drawdown together and is inherently risky.

Thin cushion 7× leaves under a quarter of this budget spare after its worst published drawdown. Recommended Fits at (of the published 44×). One multiple draws down $322 at worst (full record); 7× uses about $2,251 of a $2.5k budget. Expected average monthly profit at 7×: ≈$2,541 (best window, 6 months; $363 per multiple). Past results, not a forecast.
Thin cushion 15× leaves under a quarter of this budget spare after its worst published drawdown. Fits at 15× Fits at 15× (of the published 44×). One multiple draws down $322 at worst (full record); 15× uses about $4,824 of a $5k budget. Expected average monthly profit at 15×: ≈$5,444 (best window, 6 months; $363 per multiple). Past results, not a forecast.
Thin cushion 31× leaves under a quarter of this budget spare after its worst published drawdown. Fits at 31× Fits at 31× (of the published 44×). One multiple draws down $322 at worst (full record); 31× uses about $9,970 of a $10k budget. Expected average monthly profit at 31×: ≈$11,251 (best window, 6 months; $363 per multiple). Past results, not a forecast.
Fits at 44× Fits at 44× (the full published size). One multiple draws down $322 at worst (full record); 44× uses about $14,150 of a $25k budget. Expected average monthly profit at 44×: ≈$15,969 (best window, 6 months; $363 per multiple). Past results, not a forecast.
Fits at 44× Fits at 44× (the full published size). One multiple draws down $322 at worst (full record); 44× uses about $14,150 of a $50k budget. Expected average monthly profit at 44×: ≈$15,969 (best window, 6 months; $363 per multiple). Past results, not a forecast. This budget exceeds the published 44× size; we do not recommend raising the Multiplier beyond it — profit and drawdown rise together.

Fit multiplier = drawdown budget ÷ one multiple’s worst published drawdown, capped at the published Multiplier. Linear scaling of the published window; not a projection of future results.

Why this one
  • Figures shown at Multiplier 44 — the largest whole multiple that keeps the best-window drawdown under $10,000 ($226 at the strategy's own sizing). Set the Multiplier dial to 44 to trade the record as shown.
  • 77.5% wins at PF 2.52 across the best window (71 trades).
Daily results — last 9 months of the record
December 2025+$23,883
MTWTFSS
12.9k232.9k42.9k52.9k6789−3.9k10112.9k12−3.9k1314152.9k161718192.9k20212223242.9k25262.9k272829302.9k312.9k
January 2026$-4,699
MTWTFSS
122.9k345−3.9k62.9k72.9k89101112131415−3.9k162.9k171819202.9k212.9k2223−3.9k242526272.9k2829−3.9k30−9.2k31
February 2026+$13,130
MTWTFSS
122.9k342.9k5−3.9k62.9k7892.9k102.9k11122.9k131415161718−3.9k192.9k20−3.9k212223−3.9k24252.9k262.9k272.9k28
March 2026+$27,817
MTWTFSS
122.9k32.9k42.9k562.9k7892.9k10112.9k12131415162.9k17182.9k19202.9k2122232.9k2425262.9k27−3.9k28293031
April 2026+$11,290
MTWTFSS
122.9k345672.9k82.9k91011121314152.9k16−3.9k172.9k1819202122−3.9k23−3.9k242.9k252627282.9k292.9k30
May 2026+$17,318
MTWTFSS
12342.9k56782.9k910112.9k1213142.9k15161718192021222324252.9k262.9k2728293031
June 2026+$13,130
MTWTFSS
12.9k22.9k32.9k45678910−3.9k112.9k12131415−3.9k16−3.9k1718192.9k202122−3.9k232.9k242.9k252.9k262.9k272829302.9k
July 2026+$7,357
MTWTFSS
1234562.9k72.9k8−3.9k910−3.9k1112132.9k14152.9k1617181920−3.9k212.9k222.9k23242.9k252627282.9k2930−3.9k31
August 2026+$5,773
MTWTFSS
1232.9k42.9k5678910111213141516171819202122232425262728293031

All performance figures are backtested or validation-run results shown with commissions and slippage modeled, on the stated window. Backtested performance is hypothetical, does not represent live trading results, and is not a guarantee or projection of future returns. Futures trading involves substantial risk of loss and is not suitable for all investors. Nothing on this site is financial advice. Access provides the strategy tool only; you are responsible for your own trading decisions.

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September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026September special First month 30% off with code SEPT30 · ends 30 Sep 2026