How Every One of Our Automated Prop Firm Strategies Did in Q2 2026
Every futures and forex bundle finished Q2 2026 in profit. The full breakdown, bundle by bundle.
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Narration script as sent to voice-over; the recorded narration may differ in a few words.
Quick context for anyone new here: we make automated trading strategies that run on funded accounts, and we run the exact same ones we sell. the scripts trade on their own. here's how they did last quarter.
The headline in one line: every bundle we sell and every strategy setup we run finished the quarter in profit. twelve of twelve bundles. twenty of twenty strategy-instrument setups. green across the board.
Forex led the quarter. three bundles running on funded swing accounts. Champion returned plus twenty-one thousand four hundred twenty-nine dollars, the highest output in the lineup, with a modeled annual blow rate near zero. Index returned plus eighteen thousand four hundred two. and Focus returned plus sixteen thousand four hundred forty-nine, this one with a modeled annual blow rate of essentially zero. making money while almost never breaching the account is the whole design goal, and Focus is the clearest expression of that. Focus also runs the strongest profit factor in the lineup — four point one five, four dollars fifteen earned for every dollar lost.
Futures ran across three account sizes: fifty thousand, one hundred thousand, and one hundred fifty thousand dollars. same underlying strategies, three risk profiles per tier — Growth, Balanced, Precision. the steadier profiles had a quieter three months. the fifty-k Balanced returned plus five thousand four hundred fifty. the Growth bundles landed between plus three thousand five hundred and plus four thousand six hundred across the tiers. profitable across the board, just slower — exactly what these bundles look like when the higher-frequency setups don't get their preferred conditions.
Here's all twelve bundles at a glance, with profit factor and win rate. a high profit factor with a modest win rate just means the winners are bigger than the losers.
Two things had a strong debut this quarter. the Precision profiles, the lowest-blow-risk configurations in the lineup, put up the biggest futures numbers: plus fifteen thousand on fifty-k, nineteen thousand on one hundred-k, twenty-five thousand on one fifty-k. and GAP, our newest strategy, trades one specific thing: the price gap between one session's close and the next session's open. on micro gold, on a hundred thousand dollar account, it returned plus sixteen thousand three hundred. honest caveat: that came from eight trades. small sample, but it's the start we wanted. gap runs a profit factor of five point five on gold, winning just over half its trades.
We show every result every month, including the quiet ones, because a track record you can't check isn't a track record. every number here comes from real funded accounts running the same scripts a customer receives.
Next update comes in july. same format, every bundle, every setup, whatever the numbers say. see what's inside each one at puravidaedge.com.
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All figures are hypothetical or from live-tracked accounts as stated in the video. Past and simulated performance does not guarantee future results. This is educational content, not financial advice.