Duplifinance
Systematic copy trading built to protect capital
Automated trading systems designed with strict risk controls, low drawdowns, and a long-term capital preservation framework.
At Duplifinance, risk management is not a feature.
It is the foundation of every system we deploy.
What is Duplifinance?
Duplifinance is a systematic copy trading platform focused on risk-adjusted performance and capital preservation. Our automated strategies are designed for disciplined participants who prioritize drawdown control and longevity.
Risk-adjusted mindset
We design systems that can remain operational across different market regimes—without relying on aggressive exposure.
Discipline by design
Strategies follow predefined rules. The objective is stability over time, not short-term performance spikes.
Drawdowns as a metric
Drawdowns are treated as critical—not a side effect. A system that survives is a system that can compound.
Verified performance snapshot
A quick overview of a tracked bot account. View the full set of metrics in one click.
Bot Performance
Verified Real Account • EUR • MetaTrader 5
Our Core Principle: Capital Comes First
Preserving capital is the first objective of any serious trading operation. Growth is only possible when risk is controlled.
Capital preservation framework
At Duplifinance, every system is structured around explicit constraints that define how risk is taken and managed.
- Predefined risk parametersRules exist before capital is exposed to the market.
- Calculated position sizingPosition sizing is computed—never discretionary.
- Active exposure controlExposure is managed continuously, not assumed.
- Drawdown is criticalManaged as a primary KPI—not a side effect.
"A system that survives is a system that can compound."
Duplifinance systems prioritize longevity and consistency across regimes—built for disciplined participants with a long-term perspective.
Fully Automated, Rule-Based Execution
All Duplifinance strategies operate through fully automated execution, eliminating emotional decision-making and discretionary intervention.
Historical evaluation
Systems are evaluated across historical data to stress-test behavior and risk constraints.
Forward testing
We validate strategy behavior in live market conditions to assess operational stability.
Risk-adjusted optimization
Optimization targets risk-adjusted performance—not raw returns—prioritizing stability over time.
Objective: stability, not short-term gains
Our objective is not to maximize short-term gains, but to maintain system stability over time with strict controls and transparent rules.
Broker-Agnostic by Design
Duplifinance systems can be connected to any compatible broker that supports copy trading functionality. We are not affiliated with a single broker.
Independence
The choice of broker remains entirely with the user. We recommend large, regulated brokers for operational safety.
Recommended institutional standards
For operational and risk reasons, prioritize brokers that meet institutional standards for:
- LiquidityConsistent liquidity reduces slippage and improves stability.
- Execution qualityReliable fills and robust infrastructure matter under stress.
- Regulatory oversightPrefer regulated environments for operational confidence.
Professional systems. Controlled risk. Long-term perspective.
Start with Duplifinance.
Frequently Asked Questions
Trading involves risk. Duplifinance provides technology and strategies, not brokerage services or personalized financial advice.