ISB Gold TradeISB GOLD TRADEPRECISION • DISCIPLINE • RESULTS
THE ISB APPROACH

Precision.
Discipline.
Risk Awareness.

ISB Gold Trade is built around a simple principle: participate selectively, manage exposure carefully and let the live track record speak for itself.

CORE PRINCIPLES

How the strategy operates

The strategy focuses primarily on Gold (XAUUSD). The emphasis is on execution quality and controlled account exposure rather than chasing every market movement.

01

Selective Entries

Trades are considered when market conditions meet the strategy's criteria. The objective is to avoid unnecessary activity and focus on opportunities with a clear rationale.

02

Position Control

Position size and aggregate exposure are treated as part of the strategy. Risk is evaluated alongside the trade opportunity.

03

Active Management

Open positions are monitored as market conditions evolve. Equity and drawdown are tracked continuously through the connected MT5 data feed.

WHAT WE VALUE

Consistency over hype

CAPITAL FIRSTReturns matter, but they should always be viewed alongside drawdown, exposure and the conditions under which they were achieved.
TRANSPARENCYLive performance is designed to show both positive and negative periods, including current and maximum recorded drawdown.
NO PROFIT PROMISESThere is no guaranteed return. Historical performance can change materially and does not predict future results.
FOLLOWER CONTROLVantage provides copy-trading settings that let followers choose how they allocate and manage their own account.
XAUUSD TRADING

A focused approach to gold trading

Gold, represented by XAUUSD in the forex market, is a highly liquid instrument that can experience rapid price movements around economic data, central-bank decisions, changes in interest-rate expectations and shifts in market sentiment. A strategy that trades gold therefore needs more than an entry idea; it needs a framework for deciding when to participate, how much exposure to take and how to manage an open position.

ISB Gold Trade keeps the process selective. The objective is not to trade every movement in XAUUSD or to maximize the number of positions. Instead, the strategy looks for conditions that fit its trading criteria and then manages the resulting exposure as market conditions change.

TRADE MANAGEMENT

From entry to exit

04

Market Context

Potential trades are considered within the broader price environment. The strategy seeks a clear reason to participate instead of relying on activity for its own sake.

05

Exposure Awareness

Risk is considered at account level. Position size and combined exposure matter because a fast move in gold can affect equity quickly when leverage is involved.

06

Exit Discipline

Positions are managed as the market develops. The focus remains on controlling the trade rather than allowing a single position to dictate the outcome of the account.

HOW TO EVALUATE THE STRATEGY

Look at the complete record

Performance should be considered together with drawdown, equity changes, exposure and the underlying trading conditions. A headline return can look very different when viewed without the risk taken to achieve it.

RETURN + DRAWDOWNReview profitability together with current and historical drawdown rather than treating return as a standalone number.
LIVE DATAThe connected MetaTrader 5 data feed provides the basis for the live performance information presented on the site.
TIME HORIZONA strategy should be assessed across a meaningful period. One trade, one day or one unusually strong market move does not define the process.
FOLLOWER DECISIONSCopying a strategy does not remove risk. Account size, allocation, settings, execution and market conditions can produce different results.
Risk warning: Copy trading and leveraged trading involve significant risk. Results can differ because of account size, copying settings, execution and market conditions. Past performance is not a reliable indicator of future results.