KEPLER Performance Overview

Markets

Indices · Crypto

Winrate~70%
Annual Return~35%
Profit Factor5%
Max DrawdownH4

Our balance is built on a diversified, rule-based trading framework operating across multiple markets. Strategies focus on execution quality, market structure and strict risk control rather than prediction.

  • Trades executed only under predefined conditions
  • Execution adapted to liquidity and volatility
  • Strict drawdown and exposure control
  • No continuous trading in unfavorable environments
  • Internal testing and validation before release

Performance figures shown correspond to results since 2024 and are updated quarterly.

Professional Trading Systems

Multi-Market Pack

Systematic allocation across S&P 500, NASDAQ 100 and NIKKEI 225.

Winrate~70%
Annual Return~35%
Profit Factor5%
Max DrawdownH4
View system details

This portfolio combines three major equity indices — SP500, NASDAQ and JPN25 — to provide diversified exposure across US and Asian markets.

Each strategy is adapted to the specific characteristics of its index, allowing the system to operate efficiently under different market conditions.

By spreading capital across multiple indices and sessions, the portfolio reduces dependency on a single market regime while maintaining disciplined risk management and controlled drawdowns.

Designed for balanced growth, stability and long-term consistency.

Purchase – €

S&P 500

Structured trend-following EA for US equity markets.

Winrate~70%
Annual Return~35%
Profit Factor5%
Max DrawdownH4
View system details

Trading algorithm EA designed for the S&P 500, operating on 4-hour candles (H4) to capture medium-term trends with reduced market noise.

The strategy trades selectively during optimized market hours and applies dynamic Stop Loss and Take Profit management.

Built with a strong focus on risk control and capital preservation, avoiding overtrading.

Purchase – €

NASDAQ 100

Momentum-driven EA for US tech markets.

Winrate~70%
Annual Return~35%
Profit Factor5%
Max DrawdownH4
View system details

EA designed to trade the NASDAQ index, focusing on medium-term trends driven by technology-sector momentum.

Combines selective trade execution, volatility-based risk management and dynamic SL/TP adjustment.

Optimized for consistency and risk-adjusted performance.

Purchase – €

NIKKEI 225

High-volatility European index EA.

Winrate~85%
Yearly Profit~15%
Max DD5%
TimeframeH4
View system details

Systematic trading algorithm for the German DAX index operating on H4 candles.

Trades only during optimized European sessions with dynamic SL/TP management.

Focused on discipline, adaptability and capital protection.

Purchase – €

UK 100

Controlled exposure EA for the French market.

Winrate~80%
Yearly Profit~15%
Max DD5%
TimeframeH4
View system details

EA targeting the French CAC 40 index with structured trend-following logic.

Trades selectively under favorable volatility conditions.

Designed for steady capital growth and controlled exposure.

Purchase – €

ETHUSD

Volatility-adaptive crypto trend EA.

Winrate~75%
Yearly Profit~35%
Max DD5%
TimeframeH4
View system details

Trend-following EA designed specifically for Ethereum markets.

Adaptive SL/TP logic scales with crypto volatility.

Focused on disciplined execution and risk control.

Purchase – €

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