
Proprietary Trader
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I am a multi-asset prop trader specializing in macro and commodity markets, specifically trading CFDs on gold, silver, US oil, US indices, and Bitcoin. My trading style spans intraday to swing timeframes, allowing me to capture larger macroeconomic shifts while utilizing tight intraday execution to optimize my risk-to-reward entries.
My core strength lies in navigating highly liquid, volatile markets by matching the right timeframe to current market conditions. For example, during high-volatility regimes in Bitcoin or US Oil, I shift toward pure intraday execution to minimize overnight exposure. Conversely, when US indices establish clear structural trends, I transition into swing positions to maximize the move.
Across all asset classes, my approach is heavily anchored in strict risk management, precise position sizing, and preserving capital during choppy market environments. I am looking to bring this adaptable, multi-asset framework to your firm, where I can leverage your capital and infrastructure to scale my existing models.
4 years of experience in managing proprietary firm accounts. Recently managed a $100,000 proprietary firm account maintaining a minimum of 1:2 risk-to-reward ratio and keeping drawdowns under 3%.