8 options strategies, validated across 10 years of real market data — with realistic fills, not idealized prices. Profit factor up to 6.3, win rates to 63%, mechanical exits. Now in live forward-testing ahead of launch.
Jarvis monitors high-liquidity tickers in real-time during market hours, running a structural model that only fires when its conditions align — and stays quiet when they don’t.
When the system detects a validated setup, it sends an alert with the exact contract to trade and the price to enter. No guesswork.
Enter the trade on your broker. Holds run from minutes to about two trading days — the system tells you exactly when to take profit.
Every trade has a mechanical profit target and a strict time-based exit. No holding and hoping.
Eight strategies, each tested across 10 years of real market data with realistic options fills. The figures below are backtested, not realized — the system is in live forward (paper) validation now, ahead of a real-money launch.
STATUS: LIVE FORWARD-SHADOW VALIDATION IN PROGRESS · NO REAL-MONEY TRACK RECORD YET · ALL STATS BELOW ARE 10-YEAR BACKTEST (REAL NBBO FILLS, SLIPPAGE + FEES INCLUDED)
The same signal service, run at three risk-tiered sizes. These are leveraged options — the right size is the one whose drawdown you can stomach, not the headline return.
QQQ + TSLA + AMZN-puts. Aggressive prove-it book — a bad correlated stretch can draw down most of the account. Comfortable size is ~$12k+.
More diversified across index + single-name + the downside hedge. Still leveraged — size up or tilt to the highest risk-adjusted strategies.
The complete diversified book, including the AMZN downside hedge that smooths the equity curve.
These are backtested figures, not realized results.
Every number on this site comes from a 10-year historical backtest. We have no live-money track record yet — the system is in forward (paper) validation. Live results will differ.
Options are leveraged — drawdowns are steep.
In the backtest, a bad correlated stretch drew down close to the entire balance of a small (~$5k) account. Size to the drawdown you can withstand, not the headline return.
Losing streaks are expected.
Strategies win between 33% and 63% of the time. Strings of consecutive losses happen and are part of the math — not a malfunction.
A contract can lose 100%.
Options expire. Strict time-based exits cap exposure on each individual trade, but they do not cap the risk of the overall book.
Signals, not advice — you own the trade.
We provide validated signals; you make every execution and risk decision. This is not managed money and not financial advice. Never trade money you can’t afford to lose.
Tested on 10 years of tick-level market data — a full decade of bull, bear, and chop, not a handful of cherry-picked months
Subsample-null tested — each edge must beat thousands of random same-size trade samples to prove it’s real selection, not luck
Out-of-sample temporal split — every strategy must hold in both the first and second half of history, so it isn’t overfit to one regime
Multi-year fragility check — must work year-by-year, not on the back of a single lucky year
Look-ahead audit — signals are forward-only by construction; we prove no future data ever leaks into a decision
Faithful execution modeling — fills at real historical bid/ask (NBBO) with slippage and broker fees, never idealized mid-prices
We cut what failed — most candidate strategies were rejected by these gates; what remains is the survivors, and we’ll tell you what didn’t make it
Two tiers. Same elite signals. VIP unlocks custom backtesting, priority access, and early strategies.
All signals across 8 validated strategies delivered to Discord. Jarvis AI assistant with 50 questions per day for real-time market analysis.
Everything in Pro plus custom backtesting, priority DM access, and early access to new strategies before anyone else.
8 strategies. 10-year backtest. Real NBBO fills. Now in live forward-validation — launching soon.
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