A structured approach to trading based on price action strategies, advanced technical analysis, and rigorous risk management. Guide your journey towards consistent market results.
DISCOVER THE STRATEGYOur proprietary trading methodology continues to show exceptional results in current market conditions. We maintain a strict adherence to risk management principles that have proven effective across various market cycles.
The comparative analysis of risk management approaches (illustrated below) demonstrates why our methodology outperforms conventional strategies in volatile markets.
Independent trader specialized in futures markets, with focus on the DAX index.
With 15 years of experience in financial market trading, I've developed a disciplined and methodical approach that has allowed me to achieve consistency in results.
My trading philosophy is based on understanding price behavior and minimizing risk. I don't consider myself a "day trader" in the traditional sense, as my style isn't focused on high volume of operations, but on the quality and precision of each entry.
In this strategy, I focus exclusively on the DAX index (GER40), which I know deeply after years of observation and analysis. This specialization allows me to read price movements with greater clarity and anticipate the most promising opportunities.
My goal is to share the knowledge accumulated over these years to help other traders develop a systematic and profitable approach to the markets.
Years of trading experience
Success rate of operations
Average risk/reward ratio
I am a professional trader with years of experience in the financial markets. Throughout my career, I have traded various instruments, refining strategies based on advanced technical analysis, volume reading, and institutional flows. I have honed my skills by studying market dynamics, algorithmic manipulation, and liquidity reactions in highly volatile conditions.
Over the past two years, I have worked to perfect a highly efficient strategy, tested under different market conditions. After a long period of optimization and consistently solid results, I have decided to open this strategy in manual copy trading mode, allowing others to benefit from it. My goal is to provide a well-established and reliable system based on robust technical parameters and advanced risk management.
🎯 The objective is to leverage algorithmic manipulation and reactions to key liquidity levels to identify high-probability entries. Each trade is backed by detailed quantitative analysis and a strict risk management system.
📌 Trading is not a straight path to profits. Even with a solid strategy, drawdowns are inevitable, which is why risk management is a fundamental part of my method.
🔹 Every trade is executed with a predefined stop loss. The maximum expected drawdown is 16%, calculated based on market volatility and average price fluctuations. This ensures capital preservation and sustainable long-term risk management.
🔹 On average, the stop loss is hit once every 40 trading days. This statistical data helps maintain a balance between profitability and risk control.
🔹 After a stop loss, the recovery plan follows a structured two-phase process:
✔️ Temporary position size reduction to prevent overtrading stress.
✔️ Focus on high-probability setups, avoiding forced trades.
✔️ Gradual recovery, leveraging risk management to quickly balance drawdown without exposing capital to unnecessary risks.
💡 If analyzed over an annual timeframe, this strategy demonstrates consistent growth with limited drawdowns and fast, efficient recovery phases.
Calculate potential returns based on your initial investment. This advanced simulation models a full year of trading with this strategy, including standard profits, drawdowns, and recovery phases.
Experience the power of professional trading without spending years honing your skills. With the AJ Dax Strategy copy trading service, you can replicate my trades in real-time, benefiting from my experience and proven track record while maintaining full control of your capital.
I've partnered with FP Markets, a trusted global broker, to offer you a streamlined way to follow my strategy with minimal effort on your part.
FP Markets is a globally recognized broker with over 15 years of experience in the financial industry. They offer:
Their sophisticated copy trading platform makes replicating my strategy simple and transparent, allowing you to monitor performance in real-time.
Start with as little as €100. This accessible entry point allows traders of all levels to benefit from my strategy without requiring significant capital commitment.
0.01 lot for each €100 of account balance. This systematic position sizing ensures proportional risk across all account sizes and maintains disciplined risk management.
Manual, intraday trading based on precise setups. Each trade is carefully analyzed and executed with precise entry and exit parameters, removing the unpredictability of algorithmic systems.
1-3% daily profit target. This conservative yet consistent approach focuses on steady growth rather than high-risk strategies that can lead to account instability.
16% maximum drawdown/stop loss. Every trade includes predefined risk parameters to protect your capital during adverse market conditions.
Stop loss recovery within 5 days. My disciplined recovery protocol activates after any loss, focusing on strategic adjustments to quickly recover drawdowns.
In addition to benefiting from my trading strategy, you can earn additional income through the affiliate program. When you invite others to join the copy trading service, you'll receive 50% of the commission fees from your referrals.
This creates a win-win situation where you not only profit from your own trading but also build a passive income stream by sharing this opportunity with others.
Join the Adrian J Dax Strategy copy trading service with a simple subscription process. The service charges a performance fee of 30% on weekly profits, ensuring our incentives are aligned with your success.
No performance, no fee - it's that simple.