We combine multiple quantitative EAs with discretionary execution,
under a unified risk-control framework with transparent trading records.
Trading involves risk. Past performance is not indicative of future results.
MirrorFX aims to provide a stable, credible way to participate via copy trading.We turn complex multi-strategy execution and strict risk management into a structured approach you can follow—without needing to trade full-time.
Structured process with consistent risk principles across strategies.
結合多款量化 EA 與人工交易邏輯,避免策略集中風險。
Adjusting allocation and pacing based on volatility and conditions.
Consistent position sizing, exposure limits, and drawdown rules.
We don’t sell a single “magic strategy name.”
We focus on how structure, risk boundaries, and execution discipline are managed across regimes.
MirrorFX 的交易設計重點,不在於預測市場或追求短期績效, 而在於建立可長期運作的交易結構與清楚的風險邊界。
策略中可能包含不同形式的倉位調整或分段加碼設計, 但所有交易行為皆受到事前定義的風險上限、 最大層數與回撤條件所約束, 以確保交易始終維持在可控與可承受的範圍內。
整體風格以紀律執行、風險一致性與可持續性為優先考量, 而非以單一策略表現或短期結果作為核心訴求。
MirrorFX 的交易流程涵蓋交易前、交易中與交易後的風險管理。 包含市場狀態評估、交易準入條件、倉位與曝險限制、 回撤門檻控管以及風險收斂機制。所有設計皆以控制風險為第一優先。
Records are for transparency and research only—no investment advice or return promises.
過往績效不代表未來表現。
以下為 MirrorFX 在實際交易與測試中使用之交易環境與合作夥伴資訊展示。