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Advantages of copy trading
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Each strategy’s results are ensured by professionals with many years of investment experience.
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Thanks to algorithmic trading and professional management, your capital works around the clock.
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Algorithms can analyze over 1,000 signals in the shortest time and make optimal investment decisions quickly.
Key criteria for choosing a strategy
01
Strategy author
Review the trading styles of the strategy authors and choose the one whose approach best matches your preferences.
02
Performance history
Historical data helps forecast future returns.
03
Risk level
Understanding risks allows you to evaluate the likelihood and scale of possible losses, and the potential profitability depends on the chosen risk level.
Choose a strategy that will suit you the most
Высокий
Forecast for the year
3%
SafeHorizon
This long-term investment strategy aims at slow but steady capital growth with risk control. The portfolio consists of two main parts with different levels of risk: one part invests in assets that generate profits in calm times, and the other in riskier ones to earn in volatile market conditions. The main goal of this strategy is to balance risk and return to maximize profits over the long term while avoiding large losses. This strategy is designed for investors who are willing to keep their money invested for several years and do not expect quick profits, but seek a steady and gradual increase in their capital. This strategy is suitable for conservative investors who are willing to wait and even endure periods when their investments do not yield returns, for the sake of long-term stability and profits. The strategy aims to preserve your capital and increase it slowly but steadily over time.
Низкий
Forecast for the year
37%
IndexPath
IndexPath is a long-term investment strategy built around a diversified portfolio of exchange-traded funds (ETFs). Its goal is steady capital growth over time while controlling risk and reducing the impact of market volatility. The strategy follows a systematic portfolio-management approach: quantitative models analyze market dynamics and key macroeconomic factors to determine an optimal allocation across ETFs. The portfolio is rebalanced on a regular basis according to predefined rules, helping maintain a consistent risk profile without emotional decisions or manual intervention. IndexPath is suitable for investors who want to delegate portfolio management, prefer diversification through ETFs rather than picking individual securities, and focus on long-term results.
Умеренный
Forecast for the year
91%
VoltMomentum
VoltMomentum is a strategy that breathes in the rhythm of the crypto market. The algorithm captures the moments when movement turns into an impulse, and enters exactly at the moment when inertia begins to work for it. This is not chaotic scalping — it is a controlled rate, where every input is confirmed by mathematics and volatility filters. During periods of silence, the system waits, and when the market breaks out, it acts instantly. VoltMomentum is created for those who are ready to use the energy of the market, but not to be led by emotions.
Умеренный
Forecast for the year
7%
Axis Revert
Axis Revert is a strategy that seeks balance where others see chaos. She doesn't chase trends — on the contrary, she earns money when the market returns to its axis of equilibrium. The algorithm analyzes price distortions relative to the statistical average and carefully enters against the momentum when the probability of correction is maximum. This approach requires patience and precision, but it brings stable results even during periods of high volatility. Axis Revert is designed for those who value regularity, algorithmic logic, and independence from the general market trend.
Средний
Forecast for the year
64%
Aurora Gold
Aurora Gold is a strategy in which an algorithm turns gold into a system growth tool. It tracks metal trends on different horizons, highlighting the moments when the price moves from consolidation to steady movement. The algorithm works without haste: each position is calculated taking into account the volatility and dynamics of the background, and the risk is distributed proportionally to the strength of the signal. Aurora Gold is not looking for a quick profit — it creates the foundation for a smooth and predictable capital increase. It is suitable for investors who choose sustainability, peace of mind and long-term efficiency.
Умеренный
Forecast for the year
-4%
MetalChain
MetalChain is based on a set of modules: part of the bitcoin and ether transactions are based on the logic of controlled “mean reversal” (buying/selling after a sharp deviation with a return to the range), the other part is through iPortfolio portfolio blocks, which work as structural positions with a pre—calculated volume and a grid of pending orders. Gold is used as a “heavy” component of the chain — less frequently, but in more extensive transactions, thereby adding an additional source of income and diversification to the strategy. MetalChain is suitable for investors who are interested in diversifying between digital assets and precious metals without having to monitor the market 24/7 on their own. The strategy does not seek aggressive account overclocking, but builds smooth capital growth through a high proportion of profitable transactions, risk sharing between BTC, ETH and gold, and strict drawdown management.
Низкий
Forecast for the year
60%
ArgentA
ArgentA is an algorithmic strategy specializing in silver trading (XAGUSD). Its basis is to profit from the frequent fluctuations of the metal that occur within a day, regardless of the trend direction. The algorithm analyzes the micro-movements of the market and opens a series of small positions at times of temporary price deviations. When the market returns to its average range, the system automatically captures profits. This approach allows you to get stable results even with increased volatility. The strategy works completely automatically: each trade passes through strict risk filters, and all parameters — from volume to exit point — are calculated by the algorithm in real time. Due to this, trading remains controlled, predictable and independent of the news background. ArgentA is suitable for investors who are looking for a system tool with a high frequency of transactions, low drawdown and stable dynamics of capital growth.
Средний
Forecast for the year
29%
VoltEdge
An active trading strategy designed to capitalize on opportunities in volatile markets. It focuses on reacting quickly to sudden price changes, allowing you to capitalize on short-term fluctuations in the market. The goal of the strategy is to maximize profits by reacting quickly to impulsive price movements. To do this, traders use aggressive methods to open and close trades quickly. Each trade is controlled using tools such as Stop Loss and Take Profit, which helps to protect capital and minimize risk. This strategy is particularly suitable for those who are prepared for a high level of risk and are interested in making a quick profit. It requires active participation and a willingness to monitor changes in the market, which is ideal for investors looking to take advantage of volatility to achieve short-term financial goals.
Средний
Forecast for the year
-21%
Aurum Pulse
Умеренный
Forecast for the year
56%
DigitalLayer
DigitalLayer is a portfolio-style copy-trading strategy focused on U.S. equities across the digital economy and infrastructure theme. The strategy builds a diversified basket of high-growth names — from technology leaders and software companies to businesses tied to digital infrastructure and parts of the blockchain ecosystem. The strategy is implemented in a portfolio format: positions are typically accumulated in tranches and intended to be held on a medium- to long-term horizon, with potential rebalancing as market conditions evolve. DigitalLayer is long-only and uses liquid, publicly traded stocks, keeping the portfolio structure transparent and easy to understand. DigitalLayer is designed for investors seeking exposure to fast-growing market segments through traditional listed equities and who are comfortable with higher volatility during certain periods in exchange for potential long-term growth. Key features: • U.S. equities, long-only • focus on digital/tech and digital infrastructure • tranche-based portfolio building and rebalancing approach • liquid and transparent instruments
Aggressive
Forecast for the year
66%
PhaseLayer
PhaseLayer is a strategy based on the author's "Layered Concept", where a multi—layered analysis forms a holistic understanding of the market. It is based on determining the phases of the market cycle and adapting solutions to current conditions. Probabilistic artificial intelligence models, analyst opinions, and fair value calculations based on fundamental indicators are used to assess risks.
Низкий
Forecast for the year
88%
EquityBasket
EquityBasket is an algorithmic strategy focused on trading US-listed equities. The strategy operates across a basket of liquid instruments traded on major US exchanges, including NASDAQ and NYSE. The algorithm analyzes a broad universe of US stocks, selects instruments with suitable market conditions, and distributes trading activity across several securities. This approach helps reduce dependence on a single issuer and allows the strategy to capture opportunities across different segments of the US equity market. EquityBasket may be suitable for investors seeking exposure to US equities through a systematic algorithmic approach with automated trade execution.
Низкий
Forecast for the year
-3%
TRIADA TOR Capital
Strategy Objective — Long-term capital appreciation driven by strict risk control. The strategy is built around identifying investment opportunities within the US equity market that offer limited downside and attractive upside potential. The primary investment universe consists of highly liquid, large-cap US equities with robust trading volumes. Trade selection is based on a combination of fundamental analysis, technical setups, and overall market conditions. Positions are established exclusively when a well-defined scenario is present and a favorable risk-reward ratio is met. Risk management is the cornerstone of this strategy: acceptable risk tolerance and position sizing are predetermined for every single trade. This approach ensures disciplined capital management and mitigates the impact of emotional decision-making. The strategy is well-suited for investors who value a systematic approach, transparency in the investment process, and a strong emphasis on capital preservation.
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