Skip market ticker

Live market ticker connecting

Connecting to market feed
Institutional Drawdown Recovery

Escape the
Drawdown Jail
With Precision.

DrawdownManagement stands between you and market risk. We mathematically stabilize locked hedges and deep drawdowns using an institutional-grade recovery framework — while your withdrawals, 2FA and KYC remain entirely under your broker's control.

Custody stays with your brokerWe cannot withdraw your funds

Accounts Stabilized

1,240+

Median Recovery

92 days

Operating Since

2019

Live · EUR/USD

TradingView Feed

Connecting to market feed

Recovery Thesis · Q3

Stabilizing locked hedges without liquidating equity — the math of patient capital preservation.

Read the framework

Recovery Desk

Operational · Tier 1

1,240+
Accounts stabilized
68%
Avg. drawdown reduced
47 days
Median recovery time
$0
Funds custody moved

Live Intelligence · Drawdown Pulse

A disciplined view of every account under
recovery mandate.

Recovery composite

+1.42%

Median stabilization across 1,240 mandates · 30D

Index

DDM · 100

Weighted equity curve

Connecting to market feed
Sentiment

72%

Constructive

Locked-hedge exposure trending lower week over week.

Recovery velocity

3.2%

On mandate

Median daily equity repair against active drawdown.

AI insight

Cross-pair

Volatility moderation is opening clean hedge unwind windows.

Risk signal

Watch JPY

Policy divergence widening dispersion across FX rates.

Live Institutional Scorecard

Every locked hedge, measured against one analytical framework.

Recovery velocity, book stability, volatility exposure and model confidence — the same discipline our desk applies before touching a single position.

Demo snapshot · Refreshed hourly

Cross-book regime

Selective Recovery68

Global stability

Supportive74

Volatility pressure

Moderate46

Signal confidence

High81%

InstrumentPriceSessionVelocityStabilityVol riskRegimeConfidenceDDM score
EUR

EUR/USD

Euro / US Dollar · FX

1.0842+0.14%
74
96
38
Range · Stable86%88
GBP

GBP/USD

Sterling / Dollar · FX

1.2691-0.22%
61
94
46
Recovery Bid79%81
JPY

USD/JPY

Dollar / Yen · FX

157.42+0.37%
67
92
57
Policy-Sensitive74%72
XAU

XAU/USD

Gold Spot · Metals

2,388.4+0.63%
82
97
41
Defensive Strength89%91
WTI

WTI

Crude Oil · Energy

78.14-1.02%
44
88
68
Supply Pressure76%66
AUD

AUD/USD

Aussie / Dollar · FX

0.6612+0.19%
58
91
44
Constructive78%77
CAD

USD/CAD

Dollar / Loonie · FX

1.3618-0.08%
52
93
42
Range75%73
BTC

BTC/USD

Bitcoin · Digital

68,420+2.14%
84
87
76
Expansion82%83

Methodology · Composite scores combine trend, stability, volatility and regime signals. Analytical measurements — not trade instructions or promises of future performance.

Live Recovery Desk · Streaming Market Data

The same feeds our desk watches — live, right now.

Real-time prices, moving averages and cross-rates powered by TradingView. When you engage our desk, this is the tape we stabilize your account against.

Market feed: live

EUR/USD · 1H

Recovery Pair

Connecting to market feed

Forex Cross Rates

G8

Connecting to market feed

Market data © TradingView · For informational purposes only

Operations · Live status

Plain-language proof the desk is awake, watching and accountable.

All systems normal

Data freshness

Streaming · < 1s lag

Prices refresh continuously from tier-1 venues; last handshake seconds ago.

Monitoring uptime

99.98% · 90d

24/7 desk supervision with automated failover across three independent regions.

Recovery engine

Operational

All strategy nodes healthy. No paused mandates in the last 24 hours.

Governance controls

Read-only access

We never touch withdrawals. Broker 2FA, email verification and KYC stay with you.

Audit trail

Immutable ledger

Every action is timestamped, signed and exportable on request.

Incident review

Nothing to report

Last independent review: clean. Next scheduled: this quarter.

Signed audit logSegregated broker fundsNo withdrawal permissionsIndependent quarterly review

Recovery Coverage

One connected view across every mandate.

01

FX Majors

EUR, GBP, JPY, CHF, AUD, CAD — cross-rate stabilization and hedge unwind.

02

Metals & Energy

Gold, silver, WTI, Brent — volatility-aware recovery on commodity accounts.

03

Indices CFDs

US30, NAS100, SPX500, GER40 — index hedge locks and margin defense.

04

Digital Assets

BTC, ETH, and major perpetuals — regime-based drawdown containment.

05

Macro Context

Rates, DXY and policy calendar reconciled against every open mandate.

Your funds, your control

Three things we will never touch.

Recovery does not require access to your money. It requires access to your positions. Custody stays exactly where it belongs.

You keep 2FA

Your broker's two-factor authentication never leaves your device. We cannot log in without you.

You keep Email & Face ID

Email verification and biometric checks are yours. Every withdrawal request must pass through you.

You keep withdrawals

We physically cannot move funds. Your broker is your custodian — always has been, always will be.

A recovery protocol, not a promise.

Every step is engineered. No signals, no gambling, no martingale — just the same quantitative playbook institutional desks use to stabilize distressed books.

01

Submit your locked account

Provide broker, server, and MT4/MT5 login. Our desk audits the exposure in under 60 minutes.

02

We stabilize mathematically

Position sizing, hedge neutralization, and volatility-scaled recovery — executed without touching your custody.

03

Daily recovered balance

Track equity restoration daily. Settle the performance fee only on realized recovery.

Technology & Trust

Clarity on the surface. Control underneath.

The interface is deliberately simple. Behind it sits a controlled recovery layer built for traceability, custody separation and human oversight at every step.

Explainable outputs

Every recovery decision ships with sources, assumptions and confidence indicators — visible, auditable, defensible.

Multi-source context

Broker feed, macro calendar, volatility regime and mandate history reconciled into one operator view.

Access governance

Role-based workspaces, audit trails and strict separation of trading credentials from withdrawal control.

Continuous monitoring

Always-on watch for margin events, regime shifts and hedge-lock anomalies — 24 hours, 5 days a week.

50+

Broker feeds reconciled

24/7

Recovery desk monitoring

99.9%

Target execution uptime

1

Unified decision layer

We've seen this before

"I've been staring at a locked hedge for weeks.
Margin call is closer than my next paycheck."

If that's you — breathe. You didn't fail. The market shifted underneath a strategy that worked yesterday. Our desk stands between you and the next candle. Recovery is a discipline, and we've done it hundreds of times.

Performance-only pricing

You pay 60% — only on recovered balance.

No monthly retainer. No setup fee. If we don't recover equity, you owe nothing. Settlements are daily, transparent, and paid in crypto via NowPayments.

60%
Daily performance share
Start recovery

The questions you're actually asking.

Real answers about custody, safety, and how the recovery mechanism works.