Innovative trading service
Proprietary Execution Trading Solutions built on technology
Our trading signals and proprietary bot automation for execution of strategies for trader/ investor, Service-based programs—built for structured execution, risk clarity, and consistent winning results.
- Multi-timeframe signals with manual and automated bot execution options
- Service-based proprietary execution systems for trader/ investor
- Monthly net profit wins for trader/ investor (closed positions)
- Winnings consolidated to settings by the trader/ investor for trader/ investor
Built for trader/ investor clarity
Technology-driven execution trading solutions for trader/ investor. Trading Program offers investors and traders access to modern (Forex, Cryptocurrency, Stocks, Indices and Commodities) trading solutions with clear automated signals, profit-automation tool and profit consolidation trading ecosystem, not selling signals. .
Trader mode
Execute signals manually and automated with structured execution rules options.
Investor mode
Allocate capital to structured service-based program execution with monthly net profit wins and defined consolidation trading term.

Trading involves risk. Past performance is not indicative of future results.
GSignalX Signal Models
Two signal engines designed for different market conditions and execution styles.
GSignalX Executive
A probability-driven signal engine built on market convergence & divergence confluence analysis.
GSignalX Executive applies a proprietary Confidence Algorithm to identify high-probability buy and sell opportunities. By measuring structural alignment, multi-factor confirmation, and signal strength, it delivers disciplined, data-backed entries through its dedicated dashboard interface.
Core Focus: Precision. Confluence. Controlled probability.
GSignalX Velocity
A momentum-based signal model designed to capture aggressive trend-aligned opportunities.
Velocity identifies explosive price movements that align with prevailing market structure and trend direction. Momentum triggers are instantly delivered to our official Telegram channel for rapid execution.
Core Focus: Speed. Momentum. Trend Continuation.
What we offer
Proprietary execution trading systems—packaged for both traders and investors.
Signals and Bot Solutions
Multi-timeframe signals designed for clarity and disciplined execution.
- Clear entries with manual and automated bot execution options
- Risk guidance for position sizing
- Real-time Profit Optimization (Monitor & Scouting) for active positions
Execution Trading Services Program
Service-based trading solutions strategies built for structured execution and repeatability.
- Defined conditions, triggers, and invalidation
- Designed for consistent execution and profit optimization
- Built for trader/ investor in the retail trading & investment market
For Traders
Manual execution support plus resources to refine process and discipline.
- Multi-timeframe Signals blueprint strategies
- Education resources and mentorship options
- Automation ordering available (optional)
For Investors
Capital allocation and profit-sharing options with transparent reporting.
- Managed execution approach via structured service-based program arrangements
- Monthly calculation and reporting
- Defined Profit-share distribution terms
How it works
Execution Trading Program offers investors and traders access to technology-driven execution trading solutions
1Choose a plan
Trader/ Investor based on your goals and fill the application form
2Get access
Receive service manager and/or trading bot access based on your selected category.
3Execute or allocate
Traders execute manually and/or automated with the trading bot; investors allocate capital per written instructions.
4Monthly performance
Net Profits are calculated monthly for trader/ investor using closed positions only.
5Profit distribution
Distribution is effected within seven (7) Business Days after month end.
Terms snapshot
Clear definitions and an exact net profit formula used in reporting.
Net Profit Calculation
Net Wins = Gross Trading Gains – Trading Losses – Transaction Costs – Applicable Fees
Exclusion: Unrealized profits/losses from open positions are not included.
Definitions
- Gross Trading Gains
- aggregate of all positive returns realized from closed positions during the calculation period.
- Trading Losses
- aggregate of all negative returns realized from closed positions during the calculation period.
- Transaction Costs
- broker-imposed costs including commissions, bid–ask spreads, rollover charges, swap/financing fees.
- Applicable Fees
- subscription, management, service, or performance fees for the selected category.
Payment & Distribution Terms
- Net Wins calculated monthly (based on closed positions in that calendar month).
- Winnings consolidated to settings by the trader/ investor for trader/ investor
- Company profit bot subscription, hosting and management fees payable every month.
- Investor profit consolidation remains in trading account or transferred to investor nominated account based on trading account settings.
Trust & credibility
Designed for transparency: definitions, reporting, and clear consolidation trading term.
Risk disclosure
Trading involves risk. Past performance is not indicative of future results.
We offers a transparent intelligent execution trading solution with transparent reporting & consolidation trading term
- Clear net profit wins formula with defined components.
- Monthly reporting based on closed positions consolidation term.
- Consolidation trading term stated up-front.
EU Availability & Regulatory Notice
Bot / Account Manager Plan service is not available to European clients.
Under the European regulatory framework, particularly:
- MiFID II (Directive 2014/65/EU)
Until the company obtains proper financial authorization (e.g., MiFID II licensing in the EU), its current service model would remain in a regulatory gray area — potentially considered financial intermediation or execution of trades without license if done for clients.
FAQ
Common questions from traders and investors.
Are signals free?
We may provide limited access, however full access is offered via paid plans. Please contact us for plan details.
How is net profit calculated?
Net Profits = Gross Trading Gains – Trading Losses – Transaction Costs – Applicable Fees. Unrealised P/L from open positions is excluded.
When are profits distributed?
Net Profits are calculated monthly (based on closed positions in that calendar month). Distributions are effected within seven (7) Business Days after month end.
What broker do I need, or choose?
You can use / choose from most reputable brokers. Be aware that your broker variation may include restrictions on some account types and pairs and may require setup guidance based on your region and account type.
Can I withdraw anytime?
Withdrawals and transfers follow your broker’s rules. Investor profit share can remain in the trading account or be transferred to the nominated account per our agreement and written instructions.
Is this financial advice?
No. The content and signals are for informational/educational purposes only. Trading involves risk and you are responsible for your decisions.
Need help deciding?
Start with the live dashboard to see the signal and test out trading execution, then join our Telegram channel and reach out for guidance.