//Alvora

The Future of Trading.

Alvora is a fully automated, institution-grade trading algorithm developed over two years through the combined expertise of real traders, senior software engineers, and quantitative data analysts using only the very best tools. Designed for longevity, capital preservation, and high quality decision making, Alvora trades a carefully selected portfolio of forex, commodities, and indices, using three strategies across nine handpicked assets.

This is not a typical retail algorithm. Alvora does not rely on risky grid systems, martingale techniques, or high-frequency trading tricks to make it profitable without having a real strategy there. Instead, it is built to capture meaningful, long-term market movements while minimising downside exposure through disciplined logic and deeply filtered trade criteria. The barrier for entry - whether asset class, individual symbol, or strategy - was exceptionally high. Every component was chosen based on hard statistical merit and long-term risk-adjusted performance.

Alvora will not grow every month - and that is intentional. It does not chase consistency for the sake of optics, nor does it attempt to game the system with artificial metrics. Unlike many algorithms on the market that promise steady growth only to blow up months later, Alvora is engineered for real longevity in real markets. It trades with purpose, not frequency.

We do not believe in gimmicks. There is no “3 copies left at this price” or “price increasing next week” sales pitch. Our pricing is transparent and will never change. What you see is what you get - no fluff, no upsells.
Three professionally developed strategies
Coverage of eight assets across forex, commodities, and indices
Built for long-term compounding, not high-risk speculation
Fully automated from analysis to execution
No grid, no martingale, no artificial equity curve smoothing
Extensive statistical validation:Out-of-sample testing, Monte Carlo simulation, walk-forward analysis, and neighbour input sensitivity testing
Transparent and fully verified live track record with an FCA-regulated brokerage, using 1:30 leverage
Alvora was developed for traders and investors who understand that risk-adjusted growth over time is more valuable than unsustainable monthly returns. If you are looking for an algorithm that promises 100% per month, or one that never has a losing week, this is not for you. If you are looking for serious, data-driven technology with real logic and no shortcuts, Alvora is a portfolio solution you can trust.

No exaggeration. No promises we can’t back up. Just proven, reliable software backed by real results and a real development process.
Quantanalyzer Report

Features

Fully Automated - Set & Forget
Once setup you can leave the algorithm to do all of the heavy lifting for you.
Portfolio Set Files
Input preset files for 10 symbols across 3 assets to ensure a diversified portfolio.
Data Driven
Fully data driven, powered by industry leading analytics software & premium datasets.
Reliably Optimised
A focus on over-optimisation prevention to ensure reliability in the future.
Logic Based Strategies
Instead of random indicators and chart patterns, we rely on logic for our strategies.
Correlation Consideration
Our correlation system limits overexposure, keeping risk management central.
//Breach Strategy
Breach is a fully automated trading strategy designed with clarity, restraint, and precision in mind. After years of developing complex algorithmic systems, we came to a simple but powerful conclusion: the strategies that stand the test of time are often the ones built on clean logic and executed with discipline.

Breach is a fully automated trading strategy designed with clarity, restraint, and precision in mind. After years of developing complex algorithmic systems, we came to a simple but powerful conclusion: the strategies that stand the test of time are often the ones built on clean logic and executed with discipline. Breach is exactly that, a focused, no-nonsense strategy crafted for consistent performance and long-term viability.

While the underlying mechanics remain deliberately undisclosed, Breach is not a conventional retail system. It does not rely on fixed point take profits or arbitrary stop losses. Instead, it incorporates dynamic logic tied to live market structure, adjusting intelligently to each trading scenario. Trade exits are governed by a time-based system, allowing strong moves to run while ensuring disciplined closure and capital control.

There is no grid, no martingale, no over-optimisation, and no reliance on high-frequency entries. Breach trades selectively, with an emphasis on maximising reward while protecting downside through proportional, structure-based risk management. It is designed for traders who understand that less is often more in algorithmic trading.

Breach is part of our commitment to building reliable, long-term trading solutions. If you’re seeking a system that delivers based on logic, discipline, and structural opportunity not marketing hype Breach is built for you.
SYMBOLS
USDJPY, GBPJPY, EURJPY, XAUSD
MARKETS
FOREX & INDICES
B2B SaaS software Webflow template office1
//Ascent Strategy
Ascent is a fully automated, precision-engineered strategy developed specifically to exploit consistent patterns in the indices markets. It operates with a simple but highly effective principle: enter once early in the trading session, and exit by the end of the day. No overnight exposure, no overtrading - just structured, purposeful execution.

Designed with the unique behaviour of indices in mind, Ascent's logic is grounded in real-world market dynamics. It's risk model is clear and deliberate. While the strategy allocates capital aggressively, actual downside exposure is limited by the structural nature of the index instruments it trades. The strategy is constructed so that full account risk is only realised in scenarios of complete asset collapse. An outcome that is extremely unlikely given the nature of major indices.

This is not investing, nor is it reckless speculation. By avoiding long holding periods, Ascent eliminates many of the hidden costs and inefficiencies typically associated with traditional buy-and-hold strategies. The result is a cleaner, more direct exposure to short-term market potential, with no reliance on leverage tricks, no grid, and no martingale logic.

Ascent is not for those chasing daily excitement or exaggerated returns. It is for traders who value simplicity, clarity, and refined exposure. Executed within a framework that respects capital, market logic, and time-tested performance principles.
SYMBOLS
NAS100, US500
MARKETS
INDICES
B2B SaaS software Webflow template office2
//Surge Strategy
Surge is a fully automated trading strategy engineered to take advantage of consistent market behaviour over a carefully defined weekly cycle. With a single, well-timed entry and a fixed exit later in the week, Surge is designed to capture broader directional moves without reacting to short-term market noise.

Originally developed for index markets, Surge is backed by extensive data analysis confirming the strength of weekly price structures in these instruments. The strategy uses a time-based exit model rather than fixed take-profits, allowing strong moves to play out fully while maintaining disciplined control over trade duration and exposure.

Surge avoids complexity for the sake of complexity. There is no grid, no martingale, no curve-fitting. It does not rely on unrealistic compounding or frequent trading. Instead, Surge follows a clear, logical framework rooted in actual market behaviour. Refined through rigorous testing and professional execution standards.

Surge is not built for traders chasing daily returns or inflated marketing promises. It is designed for those who understand that real consistency comes from structure, discipline, and clean execution over time.
SYMBOLS
NAS100, US500, DE40, US30
MARKETS
INDICES
B2B SaaS software Webflow template office3