Founders pricing — 47 of 50 Lifetime spots remaining

Pass the challenge.
Collect the payouts.

6 strategies. Use them solo or in portfolios. Your priority — max profit or min risk.

6 automated TradingView strategies for MNQ, MGC, NAS, and XAU. Use them solo or stack 2–4 into a portfolio. Pick by your priority — maximize profit factor and payouts, or minimize blow rate and drawdown. The goal stays the same: pass the challenge and collect payouts in your style.

Hypothetical performance from backtested data. Past results do not guarantee future returns. See Risk Disclosure.

6
Strategies
8
Portfolio configs
12.22
Highest PF
Hook NAS strategy
$69k
Highest Net / yr
Forex Prop Champion
6 strategies· 8 portfolio configs· 4 instruments· TradingView native· Optional bridge automation
The data · Jun 2025 → May 2026

Explore the full data set.

Headline metrics always visible. Tabs let you drill into equity curves, risk profile, account tiers, or the six base strategies.

5.81
Top PF
Hook NAS · empirical
$69k
Net/yr P50
Forex Champion · MC
0.00%
Min blow/y
Forex Champion
29d
Fastest TTP
Forex Champion
4.3
Avg pay/yr
Across 8 portfolios
All 8 portfolios · cumulative % return Normalized to starting balance · 12-month sample · final % at right edge
+0%+25%+50%+75%+100%JunJulAugSepOctNovDecJanFebMarAprMayForex Champion +107%Forex Focus +80%50K Balanced +44%50K Growth +38%100K Growth +32%150K Growth +31%150K Balanced +30%100K Balanced +28%
Risk vs reward · 8 portfolios Annual blow rate (X, lower → safer) vs Monte Carlo P50 net/yr (Y)
0%3%6%9%12%$0k$20k$40k$60k$80k← higher blow rate · lower blow rate →Net/yr (MC P50)↗ SAFER · HIGHER RETURN↙ RISKIER · LOWER RETURN50K Growth50K Balanced100K Growth100K Balanced150K Growth150K BalancedForex ChampionForex Focus
Portfolios by account tier Each tier has 2 variants · click for full breakdown

50K Futures Prop

50K Growth +38%
NET/Y P50$14.2k
BLOW/Y1.22%
TTP51d
50K Balanced +44%
NET/Y P50$16.4k
BLOW/Y5.29%
TTP45d

100K Futures Prop

100K Growth +32%
NET/Y P50$23.4k
BLOW/Y7.33%
TTP62d
100K Balanced +28%
NET/Y P50$11.0k
BLOW/Y0.02%
TTP132d

150K Futures Prop

150K Growth +31%
NET/Y P50$25.2k
BLOW/Y6.13%
TTP86d
150K Balanced +30%
NET/Y P50$32.4k
BLOW/Y2.22%
TTP69d

Forex Prop

Forex Champion +107%
NET/Y P50$69.0k
BLOW/Y0.29%
TTP29d
Forex Focus +80%
NET/Y P50$40.5k
BLOW/Y0.00%
TTP49d
The problem

Why most prop traders fail

Prop firms sell an offer that sounds reasonable: a few dozen dollars for access to capital you'd never risk on your own. The reality: challenge rules are structured so most participants lose anyway. Trader starts with discipline → loses a few trades → emotions take over. New challenge, new failure, new payment. The standard diagnosis sold by trading educators is "you need more discipline" or "you need a coach."

Diagnosis: you can't beat statistics with intuition. Passing consistently requires a system that has no emotions and calculable expected value.
The solution

Puravida Edge — measured, not promised

6 automated strategies on TradingView as invite-only scripts. Explicit entry, exit, stop loss, and position sizing rules. No discretion. No "feel the market." Just an algorithm.

01
Verified backtests
Raw equity curves auditable directly on TradingView. Every screenshot on this page is native Strategy Tester output with the TV watermark.
02
1,500 Monte Carlo paths
Block bootstrap resampling generates 1,500 alternate trading sequences per preset. Output: annualized probability distributions per metric.
03
Per-instrument tuning
No single strategy fits everything. Each of MNQ, MGC, NAS, XAU has dedicated variants tuned to its volatility profile.
04
Per-account presets
50K, 100K, 150K Futures and 100K Swing Forex — every size has its own preset with pre-calculated contract/lot count, time-to-pass, and expected payouts.
05
Two execution modes
Manual from TV alerts (~$15/mo, 15-min setup) or auto-execute via bridge (~$65–80/mo). Most start manual and automate later.
06
No martingale. No grid.
No averaging losers. Techniques that hide losses in backtests and explode in real money. Puravida Edge doesn't use any of them.
Get access →
How it works

From purchase to payout — 4 steps

Two execution paths to choose from at step 3. Both end in the same place — a passed challenge and a funded account.

1
Buy access
Pick a bundle or Ultimate. Check out via Dodo Payments. 14-day money-back guarantee, no questions asked if you don't use the service.
2
TradingView invite
Strategy lands on your TV as an invite-only script. No download, no file copying. Tied to your TV username.
3
Pick your path
Trade manually from alerts (Path A, cheapest) or auto-execute via bridge (Path B, hands-off). Mix is allowed.
4
Collect payouts
Algorithm passes the challenge. You collect funded payouts. 90% profit split on Futures, 85% on Forex.
Step 3 · Two execution paths
Path A · Standalone
Manual execution, ~$15/mo, 15-min setup
  • TradingView alerts notify you
  • You place the trade in your broker
  • Works with any broker / prop firm
  • Universally permitted by every firm
Path B · Full automation
Bridge to broker, ~$65–80/mo, 60–90 min setup
  • Futures (MNQ, MGC): TradersPost → Tradovate / ProjectX
  • Forex/CFD (NAS, XAU): PineConnector → MT5
  • Trades execute automatically, 200–500ms latency
  • Verify your firm permits automated execution

Most customers start with Path A and automate later. You can also mix paths across strategies.

Get access →
This week's focus

Forex Prop Champion · Champion portfolio

Rotates Mondays · W20 / 2026 · Portfolio

Forex Prop Champion — NAS + XAU four-strategy

Champion portfolio · Forex Prop

Four strategies across NAS and XAU running on a single Forex Prop. Hook + Anchor on Nasdaq, Reject + Trace on gold. The flagship configuration: highest Net / yr in the roster AND lowest blow rate among similarly-sized accounts. P10 worst-case still $40k positive.

NAS XAU Forex Prop 4 strategies
View Forex Prop Champion details →
2.11
Profit factor
empirical 12mo
$69k
Net / yr
MC P50
2,250:1
Payouts : Blow
9.9/yr / 0.29%/yr
9.9
Payouts / yr
median
64d
Typical TTP
1st funded payout
0.29%
Blow / yr
lowest in roster
Get access → View all strategies →
Methodology

How we measure expected performance

Most "verified strategy" claims you see online stop at a single backtest. We go two steps further: Monte Carlo simulation across 1,500 alternate paths, plus a state machine simulating the full prop firm account lifecycle (challenge → funded → payout → potential blow-out).

01
Backtest
12 months empirical data per strategy × instrument
02
Monte Carlo
1,500 paths × 3-year horizon, block bootstrap
03
State machine
Per-path prop firm account lifecycle
04
Aggregate
P10/P50/P90 percentile output
⚠ Caveats — what we don't model Regime shifts (we assume future P&L distribution = past), evaluation fees and reset costs, minimum trading day requirements, per-cycle payout caps applied by some firms (~$2.5–3k limits), extreme tail events visible only over 5+ year horizons. Trade samples vary by strategy: from ~20 trades (Hook, Open MNQ) to ~700+ (Reject). Smaller samples carry wider confidence intervals. We're not hiding these — the numbers are as accurate as the methodology is honest.
About

Built in Puerto Viejo, Costa Rica

After 25 years in finance — technical analysis journalism, VC fund management, public company boards — I left the desk for the Caribbean coast of Costa Rica. Puravida Edge is what I built so I don't have to go back. The name isn't lifestyle marketing; it's the operating principle: a system disciplined enough that you can step away from it.

Compatibility

Which prop firms?

Compatibility comes down to one thing: how your prop firm calculates the trailing drawdown. There are three common models. Puravida Edge presets match specific models — wrong model + wrong preset = blown account.

EOD Trailing
Floor updates only at session close. Intraday paper losses don't tighten the floor.
Use baseline preset matching your account size
All sizing in the table calibrated for this model
Static drawdown
Fixed dollar floor that never updates. Common on 2-phase Forex swing evaluations.
Use baseline preset matching your account size
Inherits EOD sizing safely (margin to spare)
Real-time Trailing
Continuous intraday floor. Equity touch = automatic closure during the session.
Drop one account tier (e.g. 100K trailing → use 50K preset)
Path A (manual) recommended for tighter rule control
Examples: Topstep (Express), Earn2Trade Trader Career Path, FundedNext Express
Find the strategy matched to your firm →

⚠ Operating principle. Sizing presets are calibrated for EOD Trailing close-of-day rules. Using the full baseline preset on a real-time-trailing firm has a high probability of intraday floor breach. This is not a strategy defect — it's a mismatch between firm rules and chosen preset size. Check your firm's drawdown model before picking a preset; drop one account tier if your firm uses real-time trailing.

Ready to see the math?

9-page Playbook: every strategy's per-account performance, all 8 portfolios, the 1,500-path Monte Carlo behind every number. Free, instant.

Get access → See pricing
Pricing

Three tiers. Lifetime access available.

Founders pricing: 30% off Lifetime tiers, first 50 spots only. Price reverts to standard after spots fill.

🔥 Founders — remaining: 47/50 Ultimate · 42/50 Track Combo · 38/50 Single Bundle
Single Bundle
4 strategies · 1 instrument (your choice of MNQ, MGC, NAS, or XAU). All strategies covering that instrument.
Ultimate
6 strategies · 4 instruments · 16 strategy × instrument combos. Everything we ship.
Lifetime$8,997 Lifetime Founders$6,297
Top-tier flagship — Lifetime only
14-day money-back guarantee Instant TradingView access TradingView invite (lifetime access) Monthly model updates Email support

3-minute breakdown

The strategy doesn't get bored.

6 strategies · 8 portfolios · 1,500 Monte Carlo paths · 12 months of empirical data

Show transcript

Apex. Topstep. MyFundedFutures. A hundred to three hundred dollars per attempt. Most retail traders blow up in thirty days. The map is wrong.

Same instrument — MNQ. Discretionary: forty-seven trades attempted. Nineteen executed before panic. Blown in nineteen days. Systematic Anchor MNQ on the 150K preset: a hundred thirteen trades. Seventy-three percent win rate. Plus twenty thousand six hundred nineteen.

Six strategies — Open, Anchor, Pivot, Hook, Reject, Trace. Four instruments. Sixteen valid combinations. Eight portfolios — sized to every account tier. Apex. Topstep. MFFU. FundedNext. FTMO.

Fifteen hundred Monte Carlo paths. Three-year stress test. No martingale. No grid. No curve fitting.

Built in Costa Rica over the last two years. After twenty-five years on the desk. For the freedom to step away. The strategy doesn't get bored.

FAQ

Frequently asked questions

Do I need trading experience to use this?
You don't need to know how to read charts. For Path A (Standalone), you need to handle: opening a prop firm account, applying the strategy to your TradingView chart, and placing trades manually when alerts fire. For Path B (Full automation), you additionally connect a TradersPost or PineConnector webhook. Combined setup time: ~15 min for Path A, ~60–90 min for Path B the first time.
Which brokers does this work with?
Path A works with every broker and every prop firm — manual trading is universally permitted. Path B requires a broker whose backend is Tradovate, ProjectX, MT4, or MT5. That covers Apex, Lucid Trading, Tradeify, MyFundedFutures, Topstep, Forex Prop, FundedNext, The Funded Trader, and dozens of others. Always verify your firm permits automated execution before going live with Path B.
Does the strategy run 24/7?
Path B (Full automation): yes. The bridge and your broker run during their respective market hours; the strategy fires whenever a signal triggers. Path A (Standalone): no — you need to be available when alerts fire. Most customers run Path A during their active hours and Path B for overnight strategies.
How can I verify the backtests are real?
Every strategy includes raw TradingView trade list exports available on request. You can also run Strategy Tester on your own TradingView account after purchase and reproduce the exact same Performance Summary you see on this page. Native TV screenshots with watermark are the strongest verification possible — not just our claim, your replication.
What if my prop firm changes its rules?
Drop one account-tier preset on your chart and keep trading. The sizing model is calibrated for EOD-trailing prop firms by default; if your firm tightens rules (switches to real-time trailing, drops daily limit, adds news windows), use the next-smaller preset (e.g. 100K real-time trailing → use the 50K preset). No path change, no firm change, no setup rework. Path A (manual) always works as a fallback regardless of rules.
What happens with a refund?
14-day money-back guarantee from purchase date. Two refund paths: (a) Unused refund — if you haven't added the TradingView scripts to your charts, full refund within 14 days, no questions asked; (b) Action-based refund — if you set up the strategies as documented, ran them on a demo or live account for at least 7 days, and provide trade-list evidence that the strategy behaved differently from the published backtest, we honor the refund. After 14 days no refunds are available. Use of a larger preset than recommended for your firm's drawdown model (e.g. full 100K preset on a 100K real-time-trailing firm instead of dropping to 50K) is not covered.
Can I resell or share the strategies?
No. TradingView invite-only access is tied to your TV username. License is for personal use only. Resale, sharing, reverse engineering, or republishing of Pine Script code is prohibited under the Terms of Service. We track this actively.
About strategy updates?
The Monte Carlo model is refreshed monthly with the latest data window. Strategy code updates ship when (a) we detect a regime shift requiring parameter tuning, (b) prop firm rules change materially, or (c) optimization lifts expected value above the threshold of statistical significance. All updates are included — no extra cost.
What about taxes?
Dodo Payments (our payment processor) handles VAT/sales tax on their end. Invoices are generated automatically. Your taxes on trading profits are your responsibility under your local jurisdiction.
Are the strategies free of look-ahead bias?
Yes. All signals are based on candle close + confirmed indicators (no repainting). Every strategy has an explicit rule set in its description — auditable directly on TradingView.

Prop firm guides

How the major firms' rules actually work — and how a systematic approach passes them.

Apex vs TopstepDrawdown, daily loss, and which is easier to pass MyFundedFutures vs TopstepNo daily loss limit vs guardrails How to pass ApexThe trailing drawdown trap and how to size around it Manual vs automatedWhy systematic execution clears evaluations Time to first payoutWhat the data says about realistic timelines All guides →Drawdown, sizing, psychology, backtesting

Pick your preset.
Start passing.

50 Founders spots on every Lifetime tier. Once they're gone, the price reverts to standard. 14-day money-back guarantee. Monthly model updates included.