Precision session breakout system with 3.5 years of backtested results and 20+ pip trade expectancy.
Institutional-grade automation for serious traders.
Professional-grade automation with institutional transparency
Parameter sensitivity analysis proves the core logic is not a "magic number" fluke. The edge remains profitable across different market conditions.
A Monte Carlo simulation of 1000+ "trading careers" resulted in a 100% probability of profit, proving the system's success is skill, not luck.
The strategy was developed on 2.5 years of data, then validated on 1 year of "unseen" data, where it performed even betterβthe gold standard against curve-fitting.
Automated session breakout detection with 99.8% timing discipline. Every trade executed at optimal entry points during London and New York sessions.
A low-frequency approach that waits patiently for A+ institutional patterns. It correctly filters out bad trades, which is its most important job.
3,423 total trades across three strategies with complete transparency. Every trade documented and auditable with institutional-grade data quality.
Choose between Fixed TP/SL, Breakeven+Trail, or Hybrid Advanced. Each strategy optimized for different risk profiles and market conditions.
Set and forget automation with built-in risk management. No manual intervention required once configured to your specifications.
Proven track record across 41 months of live market conditions. Detailed monthly performance tracking with realistic projections.
Before we offered this system, we tried to break it. Here's how it passed every test, on the Fixed TP/SL strategy.
The Test: We built the strategy on 2.5 years of data, then tested it on 1 year of completely new, unseen data.
The Result: The strategy's performance improved on the unseen data, with expectancy jumping from +9.7 to +10.6 pips.
Conclusion: The edge is not curve-fit; it is persistent and robust over time.
The Test: We simulated 1,000 different "trading careers" by randomly shuffling the order of all 1,141 trades.
The Result: 100% of the 1,000 simulations ended in significant profit. The worst-case outcome was still massively profitable.
Conclusion: Success is a mathematical certainty due to a statistical edge, not a result of a lucky trade sequence.
The Test: We tested different opening range times and broker spreads (0.6 to 2.0 pips).
The Result: The strategy remained highly profitable across all variations, with our currect selection being the optimal "sweet spot."
Conclusion: The core concept is robust and does not depend on a single "magic number" to be profitable.
Complete results across all three strategies
Strategy Profile | Total Trades | Win Rate | Avg Pips/Trade | Total Pips | Max Drawdown |
---|---|---|---|---|---|
Fixed TP/SL (Baseline) | 1,141 | 65.6% | +9.70 pips | +11,068 pips | 80.0 pips |
Breakeven + Trail (Optimal) | 1,141 | 65.5% | +20.03 pips | +22,855 pips | 60.0 pips |
Hybrid Advanced (Balanced) | 1,141 | 66.3% | +17.66 pips | +20,151 pips | 50.0 pips |
Back Tested Data Period: January 3, 2022 - June 17, 2025 | Pair: EURUSD
32 pages of institutional-grade documentation and complete trade data
13-page comprehensive strategy validation with 3,423 trades analyzed using Swiss banking data standards
Download Report6-page document explaining our institutional data standards - same quality Swiss National Bank uses
Download Methodology13-page implementation roadmap to choose the right approach for your trading profile
Download Guide3 CSV files with every single trade - fully auditable data for independent verification
Download CSV Data (ZIP Archive)Join professional traders using institutional-grade automation
Try Range Hunter Pro risk-free for 30 days. If you're not completely satisfied with the system's performance and documentation quality, we'll refund your purchase in full.
HIGH RISK WARNING: Forex trading carries substantial risk and may not be suitable for all investors. Past performance does not guarantee future results. The high degree of leverage can work against you as well as for you. Before deciding to invest in foreign exchange, you should carefully consider your investment objectives, level of experience, and risk appetite. Only trade with money you can afford to lose completely.