Automated currency trading systems
One system per thesis. Not one system for everything.
Quantistry runs a lineup of automated FX trading systems - carry, commodity, safe-haven, majors, and more - each isolated to its own currency logic and independently allocatable across your accounts.
Systems can be optimized for FIFO-regulated, leveraged, or prop firm accounts - regular trading accounts are the default.
Illustrative equity curve, derived from backtested monthly return & drawdown
The lineup
Every system is built on one correlation, not a blend of everything
Instead of one strategy trading every pair, Quantistry runs a separate system per thesis - a shared currency, a shared risk-on/risk-off behavior, a shared region. Each one is backtested, scored, and can be allocated independently. Click any system for the full statistics.
Onboarding
From first call to live systems, four stages
Every client goes through the same process, regardless of which systems or how many you choose to run.
01 · CONTACT
Discuss your environment
We start with your setup - broker, leverage, minimum deposit, and the account type you'll be trading on.
02 · PRE-OPTIMIZATION
Tune to your environment
Chosen systems are re-optimized and backtested against your broker's own data feed and account conditions, not generic history.
03 · TESTING
Run before it counts
The calibrated systems run for a set testing period so you can verify execution, behavior, and fit before committing capital.
04 · HANDOVER
Go live with the desk
Full documentation, account access, and credentials are handed over as systems move from test to live.
Included with every setup
Every client runs on KeyMaker, our licensing & reporting layer
KeyMaker is the back-office platform bundled with every Quantistry deployment. It issues and tracks the license behind each system you run, bills automatically as licenses activate or renew, and gives you one reporting view across every client, system, and environment.
- License tracking - every system license issued, tracked, and revocable per client and per environment.
- Automated invoicing - invoices generate on activation, renewal, or change, with no manual billing.
- Performance reporting - track performance across every client, system, and account from one dashboard.
- Team & partner access - assign clients to managers or partners with scoped, restricted visibility.
Aggregate across the current lineup
4.70%
Average monthly return per system
3.06
Average profit factor
69.3%
Average win rate
8,894
Trades in the current backtest set
Figures are historical / backtested results across the current system lineup. Past performance does not guarantee future results, and trading carries risk of loss.
"We run the carry, commodity and the majors system on our own broker. Same lineup, three completely different risk profiles."
Get started
Pick a system. Pick your broker. We'll calibrate the rest.
A system review takes thirty minutes. We'll walk through the lineup and show which systems fit your accounts and risk appetite.