Built for Every Trading Style
From high-frequency scalping to conservative risk-first strategies. See how traders map their approach to plutarc's composable components.
Momentum Scalper
Fast entries, faster exits
Short timeframes, tight session windows, rapid-fire trades during high-volume overlaps. You want precise entry timing and immediate feedback on execution quality.
Session gating restricts trading to your best hours. Stacked exit rules lock in profits fast. Slippage analytics reveal execution quality so you can tighten fills.
Components
Key Analytics
- Session heatmaps to find your best trading hours
- Slippage distribution to measure execution quality
- Per-trade timing analysis to refine entry precision
Swing Trader
Patient entries, multi-day holds
Higher timeframes with multi-timeframe confirmation. You wait for high-conviction setups and hold through noise, relying on filters to narrow entries and trailing exits to ride trends.
Filter stacking narrows entries to high-conviction setups. Entry guards prevent chasing extended moves. MFE/MAE analysis shows whether your hold period matches your edge.
Components
Key Analytics
- MFE/MAE to calibrate whether stops are too tight for your hold period
- Signal correlation to find which signals reinforce your best entries
- Equity curves to track consistency across market regimes
Mean Reversion Hunter
Fade the extremes, capture the snap-back
You trade overextended conditions — price stretched from mean, volatility spikes, exhaustion readings. Quick reversals with tight targets and time-based exits to avoid holding losers.
Volatility regime filtering skips trending markets where mean reversion fails. Session heatmaps reveal when snap-backs are most reliable. Time stops cut losers that don't revert.
Components
Key Analytics
- Session heatmaps to discover when mean reversion works best
- MFE/MAE to check if take-profits are too tight or too loose
- Signal correlation to find which exhaustion signals combine well
Risk-First Conservative
Protect capital above all else
You prioritise capital preservation over win rate. Heavy risk gating blocks entries during unfavourable conditions. Multiple exit layers ensure positions are protected from every angle.
Risk gates block entries when funding or OI conditions are unfavourable. Stacked exits — hard stop, break-even, trailing — protect from every angle. Drawdown analytics quantify what your protection costs versus what it saves. Start on testnet to validate your risk configuration before committing capital.
Components
Key Analytics
- Drawdown tracking to monitor capital preservation
- Risk-adjusted return metrics across your fleet
- Per-trade diagnostics to understand the cost of protection
Fleet Operator
Scale without re-architecting
You run multiple strategies across multiple exchanges simultaneously. Different bots for different market conditions, different venues, different risk profiles — all from one dashboard.
Scale from one bot to dozens without re-architecting. Invite team members and assign roles — a Risk Manager can close positions across the fleet without touching strategy settings. Fleet-wide analytics compare strategy performance across exchanges. Independent per-bot updates let you roll out changes on your own schedule. Test new strategies on testnet before adding them to your fleet.
Components
Key Analytics
- Fleet-wide equity curves to compare strategy performance
- Per-bot analytics for independent strategy tuning
- Cross-exchange slippage comparison
- Audit log to track who changed what across the team
Trading Desk / Prop Team
Each role does what they're best at — and nothing else
You run trading as a team of two to five. A quant builds and tunes strategies. A risk manager watches exposure and has emergency close-all authority. An admin owns billing and infrastructure. A viewer audits outcomes. No shared credentials, no Slack-based approval bottlenecks.
Five built-in roles and 34 permissions map to how a real desk operates. Your Quant ships strategies without writing infrastructure code. Your Risk Manager flattens the book without ever having deployed a bot. The result: strategies reach production in days, not sprints, and you staff with specialists instead of full-stack quant-engineers. Invite by email with 7-day expiry, transfer ownership cleanly, audit every material action.
Components
Key Analytics
- Audit log for every material action across the workspace
- Risk Manager dashboards with P&L and exposure — without strategy edit access
- Fleet-wide equity curves shared across the team
Ready to build your strategy?
Start with a system template or compose from scratch. Full analytics from trade one.