Signova

Trade Like The Banks Do

Achieve 121% yearly profit with maximum 13% drawdown through institutional-grade automated trading technology.

Try it free for 90 days using any demo account. No sign-up needed!

Start Now and Stop Working Next Year!

Your Monthly Payout

Experience consistent profitability with our novel multi-strategy trading approach. Designed for sustainable growth with minimal risk and maximum flexibility.

  • 121% sustainable growth per year
  • Lowest drawdown of maximum 13% through advanced risk management
  • 5 years of consistent, long-term stability achieved through actively managed trading logic
Average Monthly Payout
0 €
10,000 €
1,000 € 30,000 €
1.2%
0% 12.9%

Signova is optimized for use with the following brokers. A live account with these brokers is required for best performance.

Logo IC Markets
Logo Puprime
Logo IC Trading
Getting Started

Discover How It Works

Signova - Getting Started

Signova - Getting Started

How to configure a Windows VPS for 24/7 trading

How to configure a Windows VPS for 24/7 trading

Contabo VPS banner

Made for

Logo MetaTrader 4
Logo MetaTrader 5
Performance Metrics

121%

Yearly Profit

13%

Maximum drawdown

16+

Symbols Traded in Parallel

160+

Strategies Running Simultaneously

Signova Standard Backtest Diagram
Professional Trading

Trading Just Like Investing

Signova replicates the behavior of professional traders hired by banks and funds, making institutional-grade trading accessible for everyone.

  • Check out our insights article detailing how Signova's trading logic works.
  • Full backtest report using MetaTrader 5 Strategy Tester with 100% modeling quality based on real tick data and true spread.
Signova's Trading Activity

Transparent Operations

Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
Signova trading examples
  • Every Trade Protected with Stop Loss
  • Smart Risk Distribution for Better Entry Prices
  • Range Trading
  • Support and Resistance Trading
  • Daily Reverse Trading
Free Signals

Validate Every Trade with Signova's Telegram Channel

Every trade entry and exit is published in real-time on our Signova Telegram channel. You can use this to manually copy trades or verify the system's performance.

Signova trading examples
Success Stories

What Our Users Say

"This is incredible! It trades better than I ever could have imagined. The results speak for themselves."

Christian

Part-time Trader

"This represents an entirely new way of investing. It's simply outsmarting whatever traditional solutions we can offer to younger investors."

Steffen

Managing Director at Local Bank

"I've been trading for over a decade, and this system consistently outperforms my manual strategies. The automation is flawless."

Markus

Professional Trader
Pricing

Start Earning Today

Get substantial returns from a small monthly payment! Pay monthly and cancel whenever you want.

Signova Light

€9
/ month
Subscribe

What's included

  • Concurrent trading of 4 forex symbols

  • 29% average yearly returns

  • 14% maximum relative drawdown

  • 1.40 profit factor

  • 788 yearly trades

  • 100% quality tick data report

  • Very low fixed relative risk per trade

  • Relatively small potential equity gains

  • Minimum equity of €1,000 required

  • Optimum equity of €4,000 or more recommended

  • Free Getting Started guide and videos

Signova Standard

€29
/ month
Subscribe

What's included

  • Concurrent trading of 8 forex symbols

  • 121% average yearly returns

  • 13% maximum relative drawdown

  • 1.29 profit factor

  • 1330 yearly trades

  • 100% quality tick data report

  • Selectable risk preference
    (from lowest to extreme)

  • Average to good equity performance

  • Minimum equity of €2,500 required

  • Optimum equity of €10,000 or more recommended

  • Free Getting Started guide and videos

Signova Premium

On Request
Contact

What's included

  • Concurrent trading of 16 forex symbols

  • Average yearly returns available on request

  • Maximum relative drawdown available on request

  • Profit factor available on request

  • Yearly trades available on request

  • Quality tick data report available on request

  • Selectable risk preference
    (from lowest to extreme)

  • Very good to outstanding equity performance

  • Minimum equity of €7,500 required

  • Optimum equity of €30,000 or more recommended

  • Free Getting Started guide and videos

  • Personal introduction video call

  • 24/7 VPS configuration by our qualified software engineer (Windows or Linux)

All prices include taxes, fees, and shipping costs. You may cancel your subscription at any time, with cancellation taking effect at the end of your current billing period. This product is covered by our Terms and Conditions and End User License Agreement.

Backtest results do not guarantee future performance. They provide an indication of potential outcomes only. Actual results may be significantly better or worse than backtested performance.

Promotion

Get 36 Months Free Access

Choose your preferred path: subscribe directly or unlock free access by opening a new live trading account with one of our premium partners. Our team will guide you through the complete setup process.

Frequently Asked Questions

Everything You Need to Know

The minimum account equity varies depending on your chosen Signova variant (Light, Standard, Premium). We distinguish between a hard minimum and a recommended optimum. Each Signova variant is a well-balanced trading system following standard risk and money management principles. A substantial minimum amount is absolutely required to prevent excessive account strain and ensure that potential drawdowns don't deplete your capital.
Signova Standard and Signova Premium feature a convenient risk selector setting. This allows you to apply a multiplier to the predefined relative risk levels. For example, if a trade is nominally set to risk 0.66% of account equity (normal risk), you can adjust this through the risk selector. The 'Extreme' setting multiplies the nominal risk by 3 (3 x 0.66% = 1.98%), while 'High' risk applies a 2x multiplier (2 x 0.66% = 1.22%). Naturally, higher risk leads to larger drawdowns but also greater potential gains. Think of it as a performance booster or limiter for your trading system.
Signova trades fully automatically. You only need time once to activate the system. After that, the trading system works 100% independently and automatically. Automated trading eliminates the dangerous emotions that human traders bring to the market. Our algorithm never gets tired, never misses opportunities, and never makes emotion-driven decisions that can destroy trading accounts.
Yes, continuous operation is required for uninterrupted trading. However, we offer Virtual Private Server (VPS) configuration services as a solution. A VPS is a cloud-based computer that runs on a remote server, allowing you to access its desktop and MetaTrader through your browser from anywhere, anytime. Your trading system runs 24/7 on the VPS while your personal computer can be turned off. Contact us to learn more about our VPC setup services.
Currently, Signova is only available with trading accounts from IC Trading and PuPrime. We have thoroughly tested these brokers and they meet our strict requirements for spreads and leverage. Many brokers offer unsustainably high spreads and perform unethical stop-outs that can damage performance. To protect Signova's reputation and your trading success, we only support accounts with our recommended brokers.
You can access the money in your trading account at any time. We have no contact with it.

Unlike other investment vehicles, your capital is not tied up. You can request a withdrawal from your broker, deposit additional capital, or stop trading at any time.
Absolutely! We provide documentation to ensure your success. Our Getting Started guide walks you through the initial setup process step-by-step.
Sure! Complete transparency is fundamental to our approach. Our inside article reveals Signova's complete trading logic, strategy implementation, and decision-making processes. Thanks to our proprietary Expert Advisor Builder technology, we can share this detailed information while maintaining intellectual property protection that prevents unauthorized replication of our systems.
Our algorithm replicates how professional entities trade by implementing 160+ strategies in parallel. Some are profitable, some are not. Through self-adaptation, the system removes underperforming strategies and creates new ones on demand. This isn't just one algorithm – it's an army of specialized traders operating within your platform.
We use leverage to multiply the average profit of non-leverage based investing. Traditional investment funds typically achieve 8-12% annual returns without leverage. By applying sophisticated risk management with 1:100 to 1:200 leverage on carefully selected trades, we can amplify these returns to 121% annually while maintaining strict drawdown controls. This approach allows us to generate substantial profits from smaller market movements that would otherwise provide minimal returns.
Trading a single symbol typically involves high risk and significant drawdown. By automatically trading 16+ symbols across multiple timeframes simultaneously, Signova diversifies exactly like institutional banks do.
This offer is funded by affiliate commissions our partner brokers pay us. This benefits everyone: you receive free access while we earn commissions. We carefully select only the best brokers with the lowest spreads and fastest execution times to ensure Signova performs optimally on your trading platform.
Absolutely not! We specifically avoid martingale and grid systems that most others use. Our strategies are built on standard industry trading techniques with proper chart analysis and risk management. We minimize indicator usage and focus on real-time chart analysis to prevent delayed signal generation.
Signova exclusively trades forex on H1 timeframes with D1 trend validation. This includes all major currency pairs such as EURUSD, EURGBP, USDCHF, and approximately 15 minor symbols. This approach ensures proper portfolio diversification across multiple markets.
For backtesting, we exclusively use MetaTrader 5 with real tick data and true spread. Each strategy is evaluated over a 5-year timespan with a medium spread profile. This ensures highest accuracy and sufficiently proves the functionality and reliability of our algorithms.
Signova is a sophisticated, well-balanced trading system that adapts to the unique characteristics of each currency pair and prevailing market conditions. High-probability trading setups receive larger position sizes, while lower-probability setups use smaller positions. This dynamic volume allocation is automatically calculated based on statistical analysis and symbol-specific factors. Manual adjustment of these values is not recommended, as it could compromise Signova's carefully optimized risk management framework and overall balance.
This is intentional behavior and a key feature of Signova's design. Since different trading modules analyze market conditions with varying parameters and timeframes, they often trigger signals at slightly different moments during the same market setup. Signova uses this to its advantage through position building—gradually accumulating a larger position to achieve an optimal average entry price. This is the same sophisticated scaling-in strategy employed daily by institutional traders at banks and hedge funds. Additionally, spreading entries across multiple smaller orders reduces execution risk, minimizes slippage, and prevents large single orders from moving the market against your position.
This is by design and reflects Signova's disciplined approach to trading. Operating on the H1 timeframe, Signova prioritizes quality over quantity. Rather than chasing marginal setups or reacting to every market fluctuation, the system patiently waits for high-probability trading conditions that meet its strict criteria. Extended periods without trades are not only normal but actually beneficial, they prevent the capital erosion that comes from overtrading and false signals. This patience is a hallmark of professional institutional trading and is essential to Signova's long-term edge.
These are intentional 'Master Trades' that form part of Signova's sophisticated position-building strategy. A master trade is typically followed by several 'slave trades' that progressively improve the average entry price. When combined, the master trade and its slave trades achieve an overall risk-reward ratio above 1.0. This is a deliberate feature of Signova's advanced risk management framework, which we call the 1-2-3 system. This approach mirrors how institutional traders scale into positions for optimal pricing. If you'd like to learn more about this strategy, please contact us.
No. By design, Signova avoids traditional technical indicators like moving averages, MACD, or RSI that are prone to overfitting. Instead, every trading module relies on price action and market structure analysis, support and resistance levels, candlestick strength, and range dynamics. Stop-loss and take-profit levels are calculated using statistical average swing heights that adapt to current market conditions. This architecture ensures strategies continuously adjust to new market environments in real-time, rather than being optimized for past data. This fundamental approach minimizes overfitting risk while maintaining robust performance across different market conditions.
While we cannot guarantee identical results (no one can predict future market behavior) our backtests provide a realistic baseline. We conduct all tests using premium tick data with actual historical spreads, eliminating the "garbage in, garbage out" problem common with lower-quality backtests. In practice, live trading typically delivers approximately 50% of backtest performance due to real-world factors such as slippage, execution variability, and evolving market dynamics. However, even achieving half the backtest returns represents exceptional performance that significantly outpaces traditional investment vehicles. Our backtests serve as a rigorous stress test rather than a promise, giving you confidence in the system's robust foundation.
No manual updates are required for strategy adjustments. Signova uses intelligent on-the-fly updates that automatically refresh the trading logic in the background while the system continues to run. If we optimize a trading module or adjust risk parameters, these changes deploy seamlessly without any action on your part. However, major version releases (such as Version 3.0, 4.0, or 5.0) that include significant architectural improvements may require a one-time reinstallation. Rest assured, your subscription always grants you access to the latest version at no additional cost, there are never hidden update fees.
This is not due to cherry-picking or hidden actions. There are two main reasons: First, the Signova Telegram channel uses Signova Premium to publish signals. Second, each Signova instance may receive slightly different price quotes depending on the actual market dynamics at that moment. While some orders find counterparties immediately, others may not, meaning each instance experiences slightly different market conditions. This is normal in live trading. However, the overall average performance across a larger number of trades is approximately the same as shown in the Telegram channel.
Expert Advisor Builder

Do you want to create your own trading system?

To create the strategies used in Signova, we utilize our own Expert Advisor Builder. This application can also be used by you to automate your own trading strategies.

Expert Advisor Builder web application
We Deliver

Confidence In Code

600K+

Lines of rigorously tested code form the foundation of our trading algorithms, ensuring reliability and precision in every market condition.

8 Years

Intensive development backed by the experience of professional day and swing traders. Every strategy has been refined through real market conditions and battle-tested across multiple market cycles.

<50ms

Lightning-fast market evaluation and trade execution ensures optimal entry and exit timing. Our ultra-low latency system captures opportunities in milliseconds, staying ahead of market movements to maximize profit potential.

Precision Testing Matters

Professional-Grade Tick Data for Bulletproof Backtesting

Don't rely on guesswork - validate your strategies with premium tick data that delivers 100% accuracy. Our comprehensive historical data spans over 20 years with custom spread profiles, ensuring your backtests reflect real trading conditions for maximum confidence.

Insights

AI Enhanced Trading in 2025 - Trends, Technologies, and What's Next

Discover how AI is revolutionizing automated trading and what the future holds for self-learning, self-adaptive trading systems that rival institutional technology.

FEA Trading, AI enhanced trading system
Meta Extender

Elevate Your Trading to Professional Level

Expand your MetaTrader capabilities with advanced pattern recognition, powerful multi-timeframe analysis, and intelligent semi-automated trading features that give you the competitive advantage you need.

Meta Extender home screen
Stop Loss Manager

Precision Risk Management

Enhance your trading strategy with intelligent stop-loss automation. Minimize risk, maximize control, and secure profits with professional-grade trailing methods.

Trading Risk Management