Describe your futures strategy in plain English. Liquis backtests it honestly — in-sample, out-of-sample, and across other markets — so you know if you have a real edge or just rode a trend. Then it watches every session and surfaces your setups in real time. You decide.
You can only watch one chart. The setup fires on another, in a session you missed, while you are at work. Your edge lives in your head, not in data you can prove. Liquis fixes both.
The difference
Any backtest looks good on the data it was fit to. Liquis runs three tests on every strategy, so a flattering in-sample number can't fool you.
How it did on the full recent window. The headline number, and the one everyone else stops at.
Re-run on the most recent slice it never fit. If the edge vanishes here, it was a curve fit, and we flag it.
The same strategy on a peer and an uncorrelated market. Works only on indices? That is beta, not edge, and we say so.
How it works
Every instrument, every session, continuously, for your exact setups. Not one chart. All of them.
The moment a setup forms, it pings you with the entry, stop, target, and the size for your account.
Take it or skip it, sized to your risk. It never trades without you, until you decide to let it.
Every setup, taken or not, logged into your track record. Win rate, R, equity curve. Your real numbers.
When you are ready, it places the trade on your own broker. One tap, or fully automatic with a kill switch.
The method
Liquis does not lean on RSI or moving averages. It reads delivery the way a sharp discretionary trader does, then runs it without the emotion, the fatigue, or the missed session. The same logic, live and in backtest, measured after real costs.
It acts only when the session is set up to deliver, and only when two to three things line up. Stops sit below the swing. Targets are real draws on liquidity, not a guess.
4 hour and 1 hour order blocks and fair value gaps, the prices price returns to.
A change in state of delivery confirming at the level. The moment the move turns.
A real draw on liquidity: session highs and lows, prior day high and low, equal highs and lows.
4 hour profiling and the London to New York handoff, so it trades when the day is set to expand.
Not generic signals. It runs the exact setups you trade, tuned to your rules and risk.
It works while you are at work. The agent watches the session so you do not have to.
Every decision logged, taken versus skipped, in dollars and R. The data you have never had.
Non-custodial. It trades on your own broker, with your sizing, and a kill switch you control.
Stop watching the chart. Let it watch for you.
Watch it run on live NQ, then take the setups you want in a simulator.