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PRODUITS GROUPÉS
Lors de votre achat, vous obtiendrez également une licence pour chacun des produits énumérés ci-dessous :
  • DOW JONES SUPERTREND-X WITH MONEY MANAGEMENT (2 HOUR)
  • DOW JONES SUPERTREND-X (2 HOUR)
  • DOW JONES AROON-X WITH MONEY MANAGEMENT (2 HOUR)
  • DOW JONES AROON-X (2 HOUR)

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APRIL 22 TO NOVEMBER 3 OF YEAR 2025:

GRAPHS:

DOW MIMETIC-X

MULTI-INDICATOR ALGORITHMIC SYSTEM FOR THE DOW JONES 30


OVERVIEW

DOW MIMETIC-X is a professional-grade, multi-algorithmic system engineered for the Dow Jones 30 index (DJI) and developed on the ProRealTime platform.
It consists of 22 autonomous long-only trading algorithms, each derived from a distinct technical indicator class and individually optimized for its operational environment. The suite translates the logic of classical market analysis — momentum, trend, volatility, and volume dynamics — into a modular structure of self-contained algorithmic entities.

Each algorithm functions as an independent analytical module, operating on 2-hour  timeframes. Together they form a composite exposure framework designed to deliver consistent returns, low internal correlation, and superior capital resilience.

The system is deployed in two operational configurations:

  • With Progressive Money Management, using dynamic capital compounding to amplify exposure under profitable conditions.

  • Without Money Management, maintaining a constant 0.5 €/pip fixed exposure for low-volatility institutional integration and baseline benchmarking.

All modules share identical development architecture and professional execution logic:

  • Platform: ProRealTime / Broker-integrated execution

  • Language: ProBuilder

  • Position Type: Long-only

  • Automation: Fully automated (100%)

  • Risk Logic: Auto-breakeven, adaptive trailing, static and dynamic exit layers

Strategically, DOW MIMETIC-X functions as a digital analytical desk composed of complementary specialists:
each bot represents a distinct school of market interpretation.

 

This behavioral segmentation ensures smooth aggregate performance, mitigates synchronization risk, and enhances system durability across market regimes.


Both versions operated on identical signal inputs, timeframes, and execution parameters, ensuring analytical comparability.
The contrast in results underscores the system’s dual-purpose design:

  • Fixed-Exposure Mode: optimized for institutional overlay strategies and risk-controlled deployment.

  • Compounding Mode: designed for growth-oriented capital expansion with disciplined drawdown management.

 

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