All Portfolio Overview
Two product families, shown separately because they are measured against different rules. Read each table against its own basis; the columns are not comparable across tables.
FXIFY FX-6
Reproduced cell for cell from the signed FX-6 overview R5. Deposit $25,000, cushion $2,500, FXIFY 2-Phase Standard with the trailing rule; drawdown is measured against FXIFY's rule and time-to-funded is a funded-account milestone.
| Portfolio | Net profit per month | Net $ per month on $25,000 | Buffer to keep in the account | Worst single day | Deepest drawdown under FXIFY's rule | Chance of losing the account in a year | Time to funded — actual | Time to funded — simulated | Winning months |
|---|---|---|---|---|---|---|---|---|---|
| New York Safe 09790 | 11.70% | $2,925.63 | $2,500 | 1.8% of the account (45% of the 4% daily allowance), 8 Jan 2025 | 4.8% (48% of the 10% allowed) | 0.07 out of 100 per year | 63 days (50 + 13) | 71 days | 17 of 18 |
| New York Growth 000036 | 14.83% | $3,707.18 | $2,500 | 3.7% of the account (92% of the 4% daily allowance), 27 Feb 2025 | 5.1% (51% of the 10% allowed) | 6.32 out of 100 per year | 44 days (33 + 11) | 60 days | 18 of 18 |
| London Safe 045429 | 9.39% | $2,347.05 | $2,500 | 2.2% of the account (56% of the 4% daily allowance), 18 Nov 2025 | 4.4% (44% of the 10% allowed) | 0.09 out of 100 per year | 30 days (14 + 16) | 80 days | 17 of 18 |
| London Growth 000012 | 13.46% | $3,365.73 | $2,500 | 3.8% of the account (94% of the 4% daily allowance), 1 Jan 2025 | 5.7% (57% of the 10% allowed) | 5.88 out of 100 per year | 48 days (26 + 22) | 67 days | 17 of 18 |
| Tokyo Safe 008579 | 9.87% | $2,468.73 | $2,500 | 2.5% of the account (62% of the 4% daily allowance), 30 Dec 2025 | 4.2% (42% of the 10% allowed) | 0.03 out of 100 per year | 34 days (26 + 8) | 81 days | 18 of 18 |
| Tokyo Growth 000024 | 17.89% | $4,472.44 | $2,500 | 3.1% of the account (78% of the 4% daily allowance), 24 Feb 2025 | 7.2% (72% of the 10% allowed) | 8.00 out of 100 per year | 70 days (61 + 9) | 53 days | 17 of 18 |
VT Copy Products
Live compounding broker-copy accounts. There is no daily-loss rule, no payout cycle, no profit split and no funding phase, so none of those columns exists here. Drawdown is closed-balance moving-peak (high-water) on the product's own published minimum. Some strategies appear in more than one product, so holding several does not give full diversification.
| Portfolio | Net per month after costs | Net $ month one on published minimum | Deepest drawdown (closed-balance high-water) | Minimum account | Trades per week | Winning trades | Profit factor |
|---|---|---|---|---|---|---|---|
| Dollar Conservative | 13.38% | USD 401 | 6.99% | USD 3,000 | 9.10 | 275 of 710 | 1.96 |
| Dollar Aggressive | 25.46% | USD 1,527 | 12.92% | USD 6,000 | 9.58 | 335 of 747 | 1.83 |
| Cent Conservative | 14.88% | USD 74 | 6.64% | USD 500 | 8.31 | 248 of 648 | 2.08 |
| Cent Aggressive | 28.21% | USD 141 | 13.39% | USD 500 | 12.90 | 406 of 1,006 | 1.79 |
Legal
Important Risk Disclosure & Disclaimer
The information, statistics, charts, analysis, performance figures and trading reports contained within this document are provided solely for informational and educational purposes. They do not constitute financial advice, investment advice, legal advice, tax advice, or a recommendation or solicitation to buy, sell or hold any financial instrument.
Backtested Performance
Any performance results presented within this report are derived from historical backtesting or simulated trading using historical market data.
Backtesting is a hypothetical exercise designed to estimate how a trading strategy may have performed under past market conditions. Such results are produced with the benefit of hindsight and do not reflect actual trading. They do not account for all market conditions or execution factors that may occur during live trading.
Past performance, whether actual or simulated, is not a reliable indicator of future results and must not be relied upon as a prediction or guarantee of future performance.
No representation or warranty is made that any account will achieve profits or losses similar to those shown in this report.
Risks of Trading
Trading financial markets involves substantial risk and is not suitable for every investor.
Actual trading results may differ materially from historical backtests due to numerous factors, including but not limited to:
- Changes in market conditions and volatility
- Liquidity constraints
- Slippage and execution delays
- Bid/ask spreads
- Commissions, fees and financing costs
- Partial fills or rejected orders
- Broker-specific execution policies
- Data quality differences
- Technical failures, software errors or connectivity issues
- Regulatory or market structure changes
- Human error or operational risks
Losses can exceed expectations, and it is possible to lose part or all of the capital allocated to trading.
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No guarantee, representation or warranty is made regarding the profitability, accuracy, reliability or future performance of any trading system, methodology, algorithm or strategy described within this report.
Historical performance should never be considered a guarantee of future returns.
Independent Decision Making
Any decision to trade, invest or otherwise act upon the information contained within this report is made entirely at the user's own discretion and risk.
Users are solely responsible for conducting their own due diligence and for determining whether any trading strategy or methodology is appropriate for their individual financial circumstances, objectives and risk tolerance.
Independent professional financial advice should be sought where appropriate before making any investment or trading decision.
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If you do not understand or accept these risks, you should not rely upon or use the information contained within this report.