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Illustrative — backtest summary, 2024–2026 out-of-sample. Not a live account.
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Explore All Services →Automated execution on gold with a tested, rules-based system. Fixed risk, hard stops, full transparency.
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Learn More →Trading and Education are available now. Signals, Investment and Asset Management are on the roadmap and are marked as such — we'd rather show you the direction than pretend everything already exists.
Our first live product trades the gold session opening range. It doesn't predict direction — it waits for a confirmed break, takes it with a fixed stop, and stands aside when there isn't one. Which is most of the time.
At the session open the EA marks the high and low of the opening bars.
A candle must close beyond the edge by a set fraction of ATR. A wick isn't enough.
Stop at the opposite range edge plus a buffer, target a fixed multiple of that risk.
Lots derive from your risk percentage, so risk stays constant however wide the range.
Daily and weekly loss locks, drawdown halt, spread ceiling. When a limit trips, it stops.
| Period | Profit Factor | Result |
|---|---|---|
| 2024 | 1.21 | Profitable |
| 2025 | 1.16 | Profitable |
| 2026 (to date) | 1.79 | Profitable |
| Full period 2024–2026 | 1.35 | +83% · 529 trades |
2026 flatters the average. A realistic forward expectation is a profit factor around 1.2–1.3 — not 1.35, and certainly not 1.79.
That is a healthy result. Any automated system advertising a profit factor above 2 across years of data is almost certainly curve-fitted to its own backtest.
Losing months will happen. The win rate sits near 50% — the edge is in winners being larger, not more frequent. Past performance does not predict future results.
FMX Plus exists because most automated trading is sold on numbers that don't survive contact with reality. We test on out-of-sample data with real spread, publish the years that went badly alongside the ones that went well, and say plainly when something stops working.
Every figure we publish comes from data the system was never tuned on. If a result only works on the sample it was built from, we don't ship it.
Hard stops on every position, fixed fractional sizing, and enforced daily, weekly and drawdown limits. No grid, no martingale, no averaging down.
We publish realistic expectations rather than best-case ones, and we tell you who the product isn't for. It costs us some sales and saves everyone a refund.
Our platform is fully optimized for mobile so you never miss an opportunity.
Start on a 30-day trial and judge it on your own broker's spread before a cent changes hands.
Create Free Account →No performance fee, no tiers, no upsells.
Cancel anytime · Prop-firm and funded accounts supported
MetaTrader 5 with a broker offering XAUUSD, and a VPS or a machine left switched on so the terminal runs during the trading session. Setup takes about ten minutes and is documented step by step.
Roughly one per trading day, and some days none at all. The system only acts on a confirmed range break — no setup means no trade. If you want constant activity, this is the wrong product.
Around 12% maximum on the tested configuration over 2024–2026, lower on the conservative preset. Size so that a drawdown twice as deep as the tested one would still be tolerable.
Yes. The daily loss, weekly loss and maximum-drawdown halts exist for exactly that. Set the daily limit to match your firm's rule before attaching the EA, and confirm your firm permits automated systems.
Signals, Investment and Asset Management are in development and marked "Coming Soon" above. We'll announce dates when we can commit to them rather than before.
Any edge can decay. We monitor live performance and will say so plainly if it stops performing, rather than quietly leaving it on sale. You can cancel at any time.