Where to see performance
Strategy performance lives on the IX Social leaderboard — real-time metrics, historical returns and risk levels, maintained by INFINOX. We link to it rather than re-print numbers, so you always see the live source.
Our scoring model (6 dimensions)
We score a strategy the way a careful investor would — not just by returns. Each dimension is rated, then combined into a single score out of 10.
Profitability
Net return over the period.
Non-luck profit
How much comes from repeatable edge vs lucky outliers.
Risk control
Drawdown, exposure and margin discipline.
Capital scale
How much real capital is behind it.
Stability
Consistency across time, not one good month.
Entry / exit edge
Timing quality of entries and exits.
The composite is deliberately conservative: a strategy can score 10 on profitability and risk control yet still rate low overall if capital scale and entry/exit edge are weak.
Track record card (template)
Every record we publish follows this template — label, period and risk stated up front, plus a link to the live source.
Strategy · Provider
Values are left as placeholders on purpose — we do not publish unverified numbers.
Data fields we publish
- Money: deposits, withdrawals, balance, equity, credit, floating P/L.
- P/L: total profit, realised, closed, unrealised, commission, swap.
- Risk: return (3m), max drawdown %, max drawdown amount, longest losing streak.
- Behaviour: average win, average loss, average holding time, win rate, trades, weeks active.
- Account: account no., live/demo, leverage, platform, broker, server, first connected.