TWO6αlphα
TWO6αlphα
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Live on Binance USDT-M perpetuals, 24/7

Systematic crypto trading, built on structure — not guesswork.

TWO6αlphα continuously scans crypto futures markets and trades them through a portfolio of independent, purpose-built strategies — each targeting a specific market condition, each with its own risk controls. No discretionary calls, no single point of failure.

Multi-strategy
independent, non-correlated strategies
24/7
automated market scanning

The problem

Most losing trades aren't caused by the market

Crypto derivatives punish hesitation and overconfidence in equal measure. Three failure modes account for most blown accounts:

Emotional drift

A trader who's right nine times out of ten can still get liquidated on the tenth — sizing up after a win streak, or refusing to cut a loss out of conviction.

A single point of view

A system built around one strategy performs only as long as its regime holds — and breaks down the moment the trend reverses, with nothing to fall back on.

No statistical filter

Most automated systems fire on a signal the moment it appears, without ever checking it against its own track record or the prevailing volatility regime.

The result is always the same: scattered gains, followed by a single event that erases months of work.

The concept

One engine, many independent edges

Markets move differently depending on whether they're trending, ranging, or breaking structure. Instead of one model trying to handle every regime, TWO6αlphα runs several narrow, specialized strategies in parallel — each one only takes trades that match the exact condition it was built for.

01

Scan

Every symbol is continuously scored for momentum, volatility, RSI divergence, market structure, and order flow — around the clock, across the whole futures market.

02

Signal

Several independent strategies each watch for their own specific setup — trend continuation, mean reversion, liquidation dislocations, or structural breaks.

03

Filter

An entry gate checks each signal against that strategy's own historical track record and current market regime before it's allowed to trade.

04

Execute & govern

Positions are sized to risk a fixed share of capital, with stops set from live volatility — and daily P&L is tracked to automatically cut exposure if losses build up.

See it in action

Your dashboard, from the moment you log in

Live balance, every open position, and a per-strategy breakdown of what's actually making or losing money — updated continuously, not on a delay.

Live
Balance $24,180.42 +3.8% today
Overview Charts Analytics History

Today's P&L

+$412.90

Win rate

61%

Open positions

4

Max drawdown

-2.1%

Open positions

BTCUSDT Long +1.8%
ETHUSDT Short -0.4%
SOLUSDT Long +4.2%
AVAXUSDT Long +0.9%

P&L by strategy (30d)

SMA Trend+6.2%
Momentum+4.1%
Liquidation Fade+2.7%
Scalp-1.3%

Illustrative data for layout purposes — not the performance of any real account.

Continuous improvement

The engine keeps learning

Every trade, fill, and market signal is logged and fed back into ongoing research — that data, combined with AI-assisted analysis, is used to refine entry filters, risk parameters, and strategy weightings on an ongoing basis. Nothing here is static; the system today isn't the system it'll be next month.

The strategies

Independent strategies, distinct market conditions

Each strategy trades a distinct signal and carries its own entry, exit, and sizing logic — so a losing week for one doesn't mean a losing week for all of them.

Trend / pullback

SMA Trend

Follows strong moving-average trends and enters on controlled pullbacks.

Trend continuation

Momentum

Targets sustained price moves while filtering out exhausted momentum.

RSI signals

RSI Divergence

Combines classic and hidden RSI divergences to detect bearish reversals and continuations.

Mean reversion

Scalp

Trades quick rebounds after sharp downward moves, with tight risk controls.

Market structure

Breaker Block

Trades confirmed breaks of market structure followed by a rejected retest.

Liquidation rebound

Liquidation Fade

Targets rebounds after concentrated forced-liquidation cascades.

Risk management

Every trade is sized before it's ever placed

Selectable risk mode

Each client can choose a risk mode that scales risk across every strategy, from conservative sizing to higher exposure, without changing the trading signals.

Track-record filtering

An entry gate blocks specific strategy/side combinations with a poor historical track record — and gates others on prevailing trend and volatility — before a signal ever reaches execution.

Capital governance

Daily P&L and equity are tracked continuously; exposure is automatically reduced, and strategies can be disabled outright, if a daily loss limit is hit.

Custody & control

We can never touch your funds — and you can cut us off instantly

No custody, ever

TWO6αlphα never holds, receives, or has access to your capital. The connection to your Binance account runs exclusively through an API key scoped to trading and read-only permissions — withdrawals and transfers are never enabled and are not technically possible through that key.

You hold the kill switch

You stay in full control at all times: revoking the API key from your own Binance account instantly and unilaterally cuts off all access, with no action required from us, no delay, and no dependency on our systems.