10 year FX Scalping Strategy in 42 seconds! #trading — backtested on Indian market data | FakeTrades
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10 year FX Scalping Strategy in 42 seconds! #trading

Trade with Pat · watch on YouTube ↗
Analysed 01 Aug 2026, 03:33 PM IST
★½☆☆☆ 1.5 / 5

Why 1.5/5? (stars grade the EDGE — per-trade expectancy, consistency, drawdown — not the headline return)

  • Roughly ZERO per-trade edge (+0.01R) — real costs eat whatever is there
  • Only 35% of trades win — the rare big winners must keep showing up
  • 5 of 9 tested years were negative (2018, 2019, 2022, 2025) — the edge is regime-dependent
  • Max drawdown -84% on the ₹2L portfolio — the compounded return came with deep pain along the way

Detected components (auto-read from transcript)

Intraday

Verdict

Auto-backtested. AI-decoded: Opening-range breakout (ORB) on 15min range, entry on 5min retest of support, intraday scalp. Ran on 159 large/mid-caps, real costs. 46,731 trades, win 35%, payoff 1.86, expectancy +0.01R/trade (avg -0.18%/trade).

This is essentially breakeven. Regime-dependent — positive in only 33% of years.

Mechanically decoded from the transcript and scored from the metrics. Flagged for human review; a hand-vetted verdict can override it.

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🔴 Live forward test (no hindsight — only trades the rules fired AFTER we published this verdict)

Tracking since 2026-07-06 — no qualifying signals have fired yet. The engine re-checks every night on fresh data; results appear here the day the rules trigger.

Is it profitable? (green above the line = made money, red below = lost it)

₹2,00,000 portfolio (max 5 positions, across the stock universe — real delivery costs)

Return-82.6%
CAGR-19.8%
Max drawdown-84.0%
Trades1514 · 398 won
₹200,000 → ₹34,795  ·  2018-07-09 → 2026-06-08
201820192020202120222023202420252026
-13%-36%-14%+22%-21%-7%-11%-28%-37%

Simulated on the 159 large/mid-cap universe. Capital-constrained, daily mark-to-market.

Year by year (every trade the rules fired, across the tested stocks)

YearTradesWin %ExpectancyAvg return / trade
2018259731% -0.08R -0.74%
2019525634% -0.06R -0.56%
2020576140% +0.14R +0.76%
2021584937% +0.08R +0.22%
2022596634% -0.04R -0.53%
2023622038% +0.07R +0.06%
2024609935% -0.00R -0.22%
2025618334% -0.06R -0.57%
2026280029% -0.10R -0.63%

Where this strategy made & lost money (the full stock-by-stock breakdown — 158 stocks, incl. 2026)

#StockTradesWin%Avg/tradeBestTotal2026
1 ████████ 9831% +0.3% +36% +26% +143%
2 ████████ 30244% +2.4% +66% +718% +127%
3 ████████ 29130% -0.1% +41% -36% +118%
4 ████████ 25040% +2.6% +78% +651% +109%
5 ████████ 29735% +0.3% +28% +91% +59%
6 ████████ 24637% -0.1% +29% -13% +55%
7 ████████ 32636% +0.5% +26% +176% +46%
8 DEEPAKNTR free peek 28833% +0.3% +47% +86% +46%
9 ████████ 28542% +3.4% +178% +962% +41%
10 ████████ 26043% +5.0% +119% +1299% +40%
11 ████████ 27034% +1.0% +81% +269% +36%
12 ████████ 31634% -0.4% +19% -135% +33%
13 ████████ 32536% +0.4% +31% +123% +27%
14 ████████ 32535% -0.3% +25% -100% +26%
15 ████████ 28636% +0.0% +27% +6% +25%
16 ████████ 30636% +0.3% +35% +96% +24%
17 ████████ 31835% +0.2% +49% +52% +17%
18 ████████ 29229% -0.7% +16% -198% +17%
19 ████████ 30436% -0.4% +19% -120% +16%
20 ████████ 31238% +0.5% +34% +158% +14%
21 ████████ 32134% -0.5% +40% -157% -53%
22 ████████ 30227% -0.8% +19% -235% -52%
23 ████████ 28340% +1.4% +55% +406% -48%
24 ████████ 30027% -0.8% +12% -248% -47%
25 ████████ 33535% -0.0% +22% -1% -47%
26 ████████ 23327% -0.7% +19% -155% -45%
27 ████████ 30738% -0.1% +25% -18% -44%
28 ████████ 31833% -0.3% +36% -85% -43%
29 ████████ 31926% -0.7% +13% -211% -42%
30 ████████ 32834% -0.2% +25% -51% -42%
You can see the numbers — see the names. Unlock every stock in this breakdown and download it as Excel. The worst stock in this table returned -248% under these exact rules — one wrong pick costs many times the unlock.

Educational backtest output only — not investment advice or a recommendation to buy/sell any security. AI-generated from stored historical data; not 100% accurate. Past performance is not indicative of future results.

On the index (same rules applied to NIFTY & BANKNIFTY)

IndexTradesWin%Expectancy (R/trade)Avg return/trade
NIFTY47534% -0.07R -0.46%
BANKNIFTY45037% +0.02R -0.24%
Full transcript (152 words)
It took me 10 years to learn this trading strategy. I'm going to teach it to you in less than 1 minute. At 9:30 a.m., you're simply looking at the 15minute candle. When that 15-minute candle is finished, you get the range high and the range low. Now, just drop down to the 5minut time frame. And we're just going to wait for a candle to break outside of that range high or that range low and then close. You can see we just had that happen right here. This tells us we want to look for buys. Now, we just need a place to enter a trade. So, let's mark up an area of recent support. Maybe you enter at a trend line like this. And then when the price comes back to that level, you're into that trade. Price eventually pushes all the way up and smashes your take profit.

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