A clearer readon the market.

We organise levels, catalysts and risk into a practical market view before the session begins. Here's how a trading day is built, and the four strategies that come out of it.

How each session is prepared, in order.

  1. 1. Preparation

    Daily market levels

    Key areas across our core markets, mapped before the session so the plan is set before conditions speed up.

  2. 2. Research

    Market context

    Structure, momentum and the macro catalysts likely to shape the session.

  3. 3. Execution

    Trading discipline

    Process-led guidance built on patience, risk awareness and decisions that can be repeated.

MG ALPHA

Gold strategy

XAUUSD
Trades
424
Win rate
59.2%
Profit factor
3.57
Recorded net*
$11,578

Our longest-running record. Gold structure, session levels and the catalysts that move it.

MG100

Nasdaq 100 strategy

NAS100
Trades
338
Win rate
59.5%
Profit factor
4.25
Recorded net*
$9,459.70

Momentum and key levels on the Nasdaq 100, planned before the US open.

MG50

Nasdaq 100 strategy

NAS100
Trades
37
Win rate
75.7%
Profit factor
8.47
Recorded net*
$2,688

A more selective Nasdaq setup. Fewer trades, stricter conditions.

MG JPY

Foreign exchange strategy

USD/JPY
Trades
36
Win rate
58.3%
Profit factor
3.69
Recorded net*
$1,626.25

USD/JPY read through rate expectations and macro flows. Tracking since 24 August.

Recorded outcomes, May – 1 October 2026. *Net is before broker fees, spreads and slippage. Historical results do not guarantee future performance.

Three markets. One process.

The goal is to know the markets we follow properly. Staying focused keeps the research practical and the process consistent.

  • GoldXAUUSDStructure and catalysts
  • Nasdaq 100NAS100Momentum and levels
  • USD / JPYUSDJPYMacro and FX context

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