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500M+
Traded
Total Traded Volume
Instant
Withdrawals
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AI-Powered
Trading
24/7 Automated Strategies
Monthly
Returns
3-7% Consistent Profits, Verified
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Hello A-Score!
Your Secret Sauce to Success

Risk Factor
Volatility Exposure & Trade Dynamics
This metric evaluates the inherent risk of a strategy by analyzing average trade size, leverage usage, asset volatility, and drawdown history. Lower scores reflect disciplined capital preservation, while higher scores signal aggressive, high-risk positioning aimed at maximizing returns. This helps investors quickly gauge a strategy's risk appetite and align it with their personal portfolio goals.
Profit Consistency
Frequency of Profitable Sessions
This measures the number of days the strategy ends in net profit. A higher consistency score indicates strong execution and effective market timing across diverse market conditions. It reflects a strategy's reliability and its ability to deliver steady returns rather than short-term spikes.
Leverage Utilization
Average and Peak Leverage Metrics
This score reflects the strategy's average and maximum leverage across trades. Higher leverage can magnify returns but also amplifies potential losses. This metric is key to understanding how much borrowed capital is used and how aggressively a strategy is positioned in the market.
Cumulative Portfolio Growth
Net Performance Over Time
This metric shows the overall return generated by a strategy since its inception. It includes both realized gains and losses across all trades and highlights the strategy's compounding power and trend over time.
Asset Coverage & Diversification
Breadth of Market Exposure
This evaluates how many and which asset classes a strategy actively trades—such as crypto, forex, equities, and indices. Broader asset exposure reduces reliance on one market and enhances risk-adjusted performance.
Maximum Drawdown
Peak-to-Trough Risk Exposure
This represents the largest percentage drop from the strategy's peak value before it recovered. It's a critical measure of downside risk, showing how much capital could have been lost during volatile periods. Lower drawdown signifies better risk control and recovery strength.


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Why Trust Algofi?
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Earn 3-7% Monthly
Consistent Passive Income
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AI-Driven Risk Management
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Passive Income
Without Trading Experience