Automated Strategies
Six strategies — outsource discipline to the machine
Six battle-tested automated trading strategies: range-bound grids, dollar-cost averaging, signal following, trailing stops, funding-rate arbitrage, and trendline retests. Each is designed for a different market regime and personality — no coding required. Pick the right tool, set the parameters, and let the bot do the work.
Strategy overview
Tap "Create this strategy" to jump straight to the strategy manager. Every strategy ships with dry-run (paper trading) mode — see performance before risking real capital.
Grid
Buys low and sells high automatically across a price range you set. Every time price crosses a grid line, a trade fires — turning sideways chop into cash flow.
DCA (Dollar-Cost Averaging)
Go long or short, with two triggers — 'time-based' (enter on a fixed schedule) and/or 'price-move' (enter only after a dip for long, a rally for short); enable at least one or both. Spreads entries to lower your average cost, with an optional total-rounds cap and full-position take-profit.
Signal
Receives webhooks from TradingView or your own scripts and executes orders by rule — supports multi-condition combinations.
Trailing Stop
Sets an activation price and callback ratio: as price rises, the stop rises with it; on a pullback meeting the ratio, the position auto-closes to lock in profit.
Funding-Rate Arbitrage
Opens an equal-size spot long and perpetual short on the same exchange — fully delta-neutral. Harvests the funding rate while shrugging off price direction.
Trendline
Draw a trendline on the chart yourself; when price retests the line, the bot fades it with a counter-trend order and sets TP/SL relative to the line.
Why run them on our platform
The recipe matters less than reliable execution. We've focused on four things so you don't burn energy on "will it actually run".
Unified multi-exchange
Binance / OKX / Bitget / MEXC in one place: run the same strategy on different venues simultaneously, with positions, orders, and PnL all unified on the dashboard.
Dry-run paper trading
Every strategy ships with a simulation mode. Validate the configuration against real market data before committing real capital — tune first, fund later.
Transparent and tunable
No black boxes. Every parameter is documented; every strategy shows concrete projections (per-grid net, annualized yield, etc.) before you press start — not marketing copy.
Real-time alerts and position sync
Strategy triggers, fills, and stops push instantly to Telegram / Line / Discord; positions stay in lockstep with the dashboard — you'll never miss a fill.
Pick the strategy that fits you and start
We recommend dry-run first. Get comfortable with one strategy, then scale up or branch out to the others.
