8 PORTFOLIOS 3 FUTURES ACCOUNTS + 2 Forex Prop VARIANTS JUN 2025 — MAY 2026

Portfolios.
Stack 2–4 strategies on one account.

12 pre-built configurations across 50K, 100K, 150K Futures Prop and Forex Prop — each combines 2–4 of our 7 strategies on a single account. These aren’t new systems — they ran through the pre-publication period; public tracking started Apr 2026.

Two variants per account size: one balanced for steady cadence (Balanced), one tuned for higher return ceiling (Growth). All Futures portfolios use the MNQ + MGC pair for hedging compliance. Forex Prop portfolios stack 4 strategies. All 1,500-path Monte Carlo verified, all under the 15%/yr SAFE threshold. Run multiple in parallel on separate accounts to reach $232k Net / yr total.

5.81
Highest profit factor
Forex Prop Focus
$69k
Highest Net / yr
Forex Prop Champion
0.00%
Lowest blow rate
Forex Prop Focus
$232k
Total Net / yr
all 8 in parallel (MED)
Prop Firm Match
Not sure which portfolio fits your firm?
Apex, Topstep, FTMO, FundingPips and more — matched to each firm's rules.
Find your firm →
Why portfolios beat single strategies

Higher profit potential AND lower risk.

Each portfolio combines 2–4 uncorrelated strategies. PF and Win Rate stack (more setups firing = more income opportunities), variance drops (losing days don't overlap), and the joint Sharpe climbs to 3.3–4.4 vs. ~2–3 standalone.

01
Profit factors multiply
Each strategy contributes its full PF to the joint stream. Different setups fire on different days — Pivot reverses at session levels, Open breaks the opening range, Trace takes asymmetric R-multiples. The combined PF often exceeds the best single strategy (100K-Growth reaches PF 3.25).
02
Risk drops from decorrelation
Because losing days don't overlap between mean-reversion, breakout, and rejection setups, joint daily P&L has tighter standard deviation than any individual strategy. Forex Prop Champion combines 4 strategies and produces blow rate 0.29%/yr — lower than any single component.
03
Risk-verified at portfolio level
Different strategies on one account share its hard DD floor. We ran full 1,500-path joint Monte Carlo per portfolio to confirm the diversification benefit holds under shared DD constraints. Every published portfolio survived the SAFE filter (blow rate ≤ 15%/yr).
All 12 portfolios

Full roster

Grouped by account size. Three variants per Futures tier: Balanced (risk-first), Growth (return ceiling) and the new Precision (Gap-anchored, near-zero blow). Three Forex Prop variants: Champion (cross NAS+XAU), Focus (pure XAU) and the new Index (NAS-heavy + Gap XAU). Focus (pure XAU 4-strategy).

50K Futures Prop · 3 variants

50K-Balanced
50K Futures Prop
BALANCED
Open MNQ + Trace MGC
LIVE · Q2’26 tracked
Open MNQ ·2ctTrace MGC ·1ct
2.87
Profit factor
$15.6k
Net / yr
938:1
Payouts : Blow
40d
Typical TTP
54.2%WR10.3payouts / yr1.07%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$14.1k — $17k
Empirical max DD$1,248 (62.4% of hard limit)
Account balance$50,000
Hard DD floor$48,000
View 50K-Balanced detail page →
50K-Growth
50K Futures Prop
GROWTH
Anchor MNQ + Trace MGC
LIVE · Q2’26 tracked
Anchor MNQ ·3ctTrace MGC ·1ct
2.75
Profit factor
$15.7k
Net / yr
97:1
Payouts : Blow
38d
Typical TTP
61.3%WR10.3payouts / yr8.09%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$12.9k — $17.6k
Empirical max DD$1,848 (92.4% of hard limit)
Account balance$50,000
Hard DD floor$48,000
View 50K-Growth detail page →
50K-Precision
50K Futures Prop
PRECISION
GAP MGC + Open MNQ
LIVE · joint track since Q2’26
GAP MGC ·6ctOpen MNQ ·2ct
5.10
Profit factor
$21.3k
Net / yr
7968:1
Payouts : Blow
36d
Typical TTP
73.0%WR10.7payouts / yr0.13%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$18.7k — $24.2k
Empirical max DD$1,107 (55.4% of hard limit)
Account balance$50,000
Hard DD floor$48,000
View 50K-Precision detail page →

100K Futures Prop · 3 variants

100K-Balanced
100K Futures Prop
BALANCED
Anchor MNQ + Reject MGC
LIVE · Q2’26 tracked
Anchor MNQ ·4ctReject MGC ·1ct
3.70
Profit factor
$11.2k
Net / yr
9724:1
Payouts : Blow
79d
Typical TTP
76.6%WR8.7payouts / yr0.09%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$9.9k — $12.3k
Empirical max DD$1,188 (39.6% of hard limit)
Account balance$100,000
Hard DD floor$97,000
View 100K-Balanced detail page →
100K-Growth
100K Futures Prop
GROWTH
Anchor MNQ + Trace MGC
LIVE · Q2’26 tracked
Anchor MNQ ·6ctTrace MGC ·1ct
2.94
Profit factor
$22.4k
Net / yr
137:1
Payouts : Blow
37d
Typical TTP
61.3%WR10.3payouts / yr6.16%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$19.2k — $25.1k
Empirical max DD$2,478 (82.6% of hard limit)
Account balance$100,000
Hard DD floor$97,000
View 100K-Growth detail page →
100K-Precision
100K Futures Prop
PRECISION
GAP MGC + Trace MNQ
LIVE · joint track since Q2’26
GAP MGC ·8ctTrace MNQ ·2ct
2.04
Profit factor
$29.7k
Net / yr
1231:1
Payouts : Blow
36d
Typical TTP
38.8%WR10.7payouts / yr0.84%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$25.8k — $34k
Empirical max DD$3,935 (131.2% of hard limit)
Account balance$100,000
Hard DD floor$97,000
View 100K-Precision detail page →

150K Futures Prop · 3 variants

150K-Balanced
150K Futures Prop
BALANCED
Anchor MNQ + Trace MGC
LIVE · Q2’26 tracked
Anchor MNQ ·6ctTrace MGC ·2ct
2.75
Profit factor
$31.8k
Net / yr
204:1
Payouts : Blow
37d
Typical TTP
61.3%WR10.7payouts / yr4.51%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$28k — $35.4k
Empirical max DD$3,696 (82.1% of hard limit)
Account balance$150,000
Hard DD floor$145,500
View 150K-Balanced detail page →
150K-Growth
150K Futures Prop
GROWTH
Anchor MNQ + Reject MGC
LIVE · Q2’26 tracked
Anchor MNQ ·10ctReject MGC ·1ct
3.56
Profit factor
$24.3k
Net / yr
198:1
Payouts : Blow
49d
Typical TTP
76.6%WR9.7payouts / yr4.27%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$20.8k — $27.6k
Empirical max DD$2,736 (60.8% of hard limit)
Account balance$150,000
Hard DD floor$145,500
View 150K-Growth detail page →
150K-Precision
150K Futures Prop
PRECISION
GAP MGC + Trace MNQ
LIVE · joint track since Q2’26
GAP MGC ·10ctTrace MNQ ·3ct
1.97
Profit factor
$39.5k
Net / yr
1888:1
Payouts : Blow
36d
Typical TTP
38.8%WR10.7payouts / yr0.56%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$34.5k — $45.1k
Empirical max DD$5,902 (131.2% of hard limit)
Account balance$150,000
Hard DD floor$145,500
View 150K-Precision detail page →

Forex Prop · 100K Swing · 3 variants

Forex Prop Champion
Forex Prop · 100K Swing
CHAMPION
Hook NAS + Anchor NAS + Reject XAU + Trace XAU
LIVE · Q2’26 tracked
Hook NAS ·6lotAnchor NAS ·18lotReject XAU ·0.15lotTrace XAU ·0.3lot
3.49
Profit factor
$55.1k
Net / yr
6062:1
Payouts : Blow
14d
Typical TTP
69.1%WR17.7payouts / yr0.29%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$49.7k — $60.1k
Empirical max DD$3,062 (30.6% of hard limit)
Account balance$100,000
Hard DD floor$90,000
View Forex Prop Champion detail page →
Forex Prop Focus
Forex Prop · 100K Swing
FOCUS
Pivot XAU + Reject XAU + Open XAU + Trace XAU
LIVE · Q2’26 tracked
Pivot XAU ·0.3lotReject XAU ·0.15lotOpen XAU ·0.1lotTrace XAU ·0.3lot
4.15
Profit factor
$38.5k
Net / yr
>9999:1
Payouts : Blow
16d
Typical TTP
74.0%WR12.7payouts / yr0.00%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$34.8k — $42k
Empirical max DD$1,534 (15.3% of hard limit)
Account balance$100,000
Hard DD floor$90,000
View Forex Prop Focus detail page →
Forex Prop Index
Forex Prop · 100K Swing
INDEX
GAP XAU + Trace NAS + Open NAS + Hook NAS
LIVE · joint track since Q2’26
GAP XAU ·0.3lotTrace NAS ·6lotOpen NAS ·12lotHook NAS ·6lot
2.37
Profit factor
$46.9k
Net / yr
4452:1
Payouts : Blow
14d
Typical TTP
47.0%WR16.0payouts / yr0.36%blow / yr
Full breakdown
Net / yr range (MC 1500 paths)$41.9k — $51.5k
Empirical max DD$4,498 (45.0% of hard limit)
Account balance$100,000
Hard DD floor$90,000
View Forex Prop Index detail page →
Construction rule

Why Futures portfolios are pairs and Forex Prop portfolios are 4-strategy

Prop firms (Apex, MyFundedFutures, Topstep, Tradeify, Lucid) ban hedging — you can't hold simultaneous long and short positions on the same instrument at the same broker. Two strategies running on the same instrument can occasionally produce overlapping opposite-direction trades, which would breach the rule. Our portfolio construction respects this:

FUTURES PROP
Max 1 strategy per instrument
All Futures portfolios pair MNQ + MGC — one strategy on each instrument. No same-instrument stacking, no hedging violation. Diversification comes from uncorrelated instruments (micro Nasdaq + micro gold) rather than stacking setups on one instrument.
Forex Prop SWING
Multi-strategy same-instrument allowed
Forex Prop terms permit multiple strategies on the same instrument concurrently. This unlocks 4-strategy portfolios: Forex Prop Champion spreads across NAS + XAU, Forex Prop Focus concentrates pure XAU 4-strategy. Wider setup variety is why Forex Prop portfolios reach 9-10 payouts/yr vs ~6-8 on Futures pairs.
50K SIZING
Why 50K portfolios run reduced sizing
50K Futures Prop has hard DD $2k — too tight for full per-strategy sizing. We scale down 0.5-0.7× on 50K variants to stay inside the SAFE Blow/yr ≤ 15% threshold. Trade-off: smaller absolute returns but cleanest entry portfolio.
Methodology

How portfolios are validated

From raw trades to portfolio stats

1. Per-strategy trade lists — 16 raw TradingView Strategy Tester exports (7 strategies × relevant instruments), 12-month empirical period.

2. Joint daily P&L — sum daily P&L across all strategies per calendar day, scaled by sizing. This becomes the portfolio's effective daily return distribution.

3. Empirical validation — compute peak-to-trough drawdown on joint cumulative equity. Filter out any portfolio whose empirical DD exceeds the account's hard DD limit.

4. Joint Monte Carlo — 1,500 paths × 3-year horizon, block bootstrap (5-day blocks to preserve autocorrelation), dropout 25%. Full prop firm account lifecycle (challenge → funded → payouts → potential blow-out).

5. SAFE filter — reject any portfolio with annualized blow rate > 15%/yr. All 8 published portfolios passed.

6. Hedging compliance — portfolios are composed so that strategies don't hold opposite directions on the same instrument at the same broker simultaneously. Verifiable in per-strategy trade lists.

See the methodology page for full statistical detail. Profit splits applied: 90% Futures Prop, 85% Forex Prop.

FAQ

Common questions

Why are Futures portfolios pairs (MNQ + MGC) and Forex Prop portfolios 4-strategy?
Prop firms prohibit hedging — simultaneous opposite-direction positions on the same instrument at the same broker. Two strategies on the same instrument can occasionally produce overlapping long+short trades, breaching the rule. Futures Prop portfolios use one strategy per instrument (MNQ + MGC) to comply. Forex Prop doesn't have the same restriction, so its portfolios can stack 4 strategies (cross NAS+XAU in Forex Prop Champion, pure XAU 4-strategy in Forex Prop Focus).
What do Balanced / Growth mean?
Classification by annualized blow rate: Balanced < 6%, Growth 6-15%. Forex Prop portfolios are labeled by composition: Champion (cross NAS+XAU), Focus (pure XAU 4-strategy). All portfolios stay below the 15% SAFE threshold.
What is Trade-WR vs Day-WR?
Trade-WR = trade-level win rate from TradingView Strategy Tester, weighted across the strategies in a portfolio by trade count. Example: 100K-Balanced runs Anchor MNQ (74.1% WR over 116 trades) + Reject MGC (85.1% over 67 trades) → weighted Trade-WR 78.1%. This is the number shown on portfolio cards and detail pages.

Day-WR = percent of calendar trading days that end profitable on the joint equity curve. This is more relevant to daily-loss-limit-based prop firm rules. Available in the risk disclosure section of each portfolio detail page.
What is the Payouts:Blow ratio?
Expected payouts per blow event. Computed as annual_payouts / annual_blow_rate. A portfolio with 7.6 payouts/yr and 14.5% blow rate has ratio 52:1 — you can expect ~52 payouts on average before one blow event. Forex Prop Champion reaches 2,250:1 (9.9 payouts/yr / 0.29% blow rate).
Why does each account size have 2 variants?
One variant (Balanced) prioritizes profit factor and predictable cadence; the other (Growth at 50K, Growth at 100K/150K) trades that profile for either lower risk or higher return ceiling. Pick by what matters more to you on the specific account.
Can I run multiple portfolios in parallel?
Yes — on separate accounts. Each portfolio targets one (instrument family × account) combination. You could run 100K-Balanced on one Futures Prop account, Forex Prop Champion on one Forex Prop account, and Forex Prop Focus on a second Forex Prop account — all in parallel. The Ultimate tier includes access to all 8.
What does "hedging-compliant" mean?
Forex Prop and some prop firms prohibit holding opposite-direction positions on the same instrument at the same broker simultaneously. Our Futures portfolios are composed so strategies in the same portfolio don't produce simultaneous long+short on the same instrument. Verified in per-strategy trade lists, available on request.

Ready to deploy?

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