Our Performance

At SciTrade, we believe in full transparency when it comes to our trading performance. Our results speak for themselves – a testament to our disciplined approach, market expertise, and strategic execution.

Below, you'll find a comprehensive overview of our performance metrics, showcasing our consistent ability to identify opportunities, manage risk, and deliver results across various market conditions.

87%
Win Rate
312%
Annual ROI
4.2:1
Risk/Reward Ratio
1430+
Successful Trades

Performance Growth 2022-2025

+42%
Q1 2022
+68%
Q3 2022
+113%
Q1 2023
+147%
Q3 2023
+195%
Q1 2024
+248%
Q3 2024
+312%
Q1 2025

Trading Excellence

Our methodology has consistently outperformed market benchmarks, delivering exceptional returns with controlled risk.

Performance Highlights

Market Volatility Mastery

During periods of extreme market volatility in 2023, our strategies maintained a 92% win rate while major indices experienced double-digit drawdowns.

Strategic Diversification

Our multi-market approach allows for consistent performance regardless of overall market conditions, with an average monthly return of 26.3% across all asset classes.

Risk Management Excellence

Maximum drawdown limited to just 7.4% during the most volatile trading periods, with 89% of all losing trades contained within predetermined risk parameters.

Client Results

Our clients have experienced transformative results across their trading portfolios. From new traders to experienced market professionals, our approach has consistently delivered exceptional performance.

SciTrade completely transformed my approach to the markets. Following their strategies, I've seen a 287% return in just 14 months – far beyond what I thought possible.

Michael R. - Professional Trader

As someone new to trading, I was skeptical at first. After six months with SciTrade's guidance, my portfolio is up 143% and I finally have confidence in my trading decisions.

Sarah K. - New Trader

The risk management strategy alone was worth the investment. My win rate has increased from 54% to 83%, and more importantly, my average win significantly outpaces my average loss.

David L. - Institutional Trader

Trading Excellence

Our methodology has consistently outperformed market benchmarks, delivering exceptional returns with controlled risk.

Growth Timeline

Q1 2022

Launch Phase

Initial strategy development and first client group achieves 42% average return in first quarter.

Q3 2022

Strategy Refinement

Enhanced algorithm development leads to 68% quarterly returns and 94% reduction in drawdowns.

Q1 2023

Expansion Phase

Client base triples as performance metrics attract institutional attention with 113% quarterly returns.

Q3 2023

Market Leadership

Recognition as industry leader with benchmark-beating performance across all market conditions.

Q1 2024

Technology Integration

Proprietary analytics platform deployed, elevating client results to new heights with precision execution.

Q1 2025

Global Expansion

International presence established with clients across 24 countries and record-breaking performance metrics.

312% ANNUALIZED RETURN
87% WIN RATE
AVERAGE HOLD TIME: 4.8 DAYS
4.2:1 REWARD-TO-RISK RATIO
MAXIMUM DRAWDOWN: 7.4%
1430+ SUCCESSFUL TRADES
OUTPERFORMING BENCHMARKS BY 285%
CONSISTENT MONTHLY PROFITABILITY

Your Success Awaits

Join our community of successful traders and experience the SciTrade difference with proven strategies and exceptional results.

Start Your Journey

Ready to experience these results for yourself? Join SciTrade Trading today and gain access to our proprietary strategies, personalized guidance, and proven track record of success.

Whether you're just starting out or looking to take your trading to the next level, our approach is designed to help you achieve consistent, exceptional results in any market condition.