Build Markets intoHigh‑Performance Systems.
We are a results‑driven quant studio. We design, test and operate systematic trading strategies with institutional execution and disciplined risk.
About Us
We build resilient, high‑performance trading systems.
XXXTraders combines market microstructure expertise with robust engineering to deliver systems that are fast, reliable, and deeply tested. We partner with funds and fintechs to turn ideas into production‑grade alpha.
Execution
Latency‑aware routing, smart order logic, and exchange‑specific optimizations to reduce slippage.
Research
Systematic research framework with high‑quality data pipelines and reproducible experiments.
Reliability
Battle‑tested infra, observability by default, and controlled rollouts to keep systems stable.
Who XXXTraders is for
“Risk appears when you don’t know what you’re doing.”
Who this is for
Trading offers attractive potential, but it isn’t simple and it isn’t for everyone. If you want to tap the opportunity without deep technical knowledge or the time to manage it day to day, our systems can help.
- Investors seeking innovation and dynamic strategies
- Those who want clearly defined risk upfront
- Those who prefer to leverage potential without spending daily time
- Anyone who values real‑time visibility into what’s happening with their capital
- Long‑term minded investors comfortable with temporary drawdowns
Who this is not for
Higher returns always come with risk. If you prefer guaranteed outcomes or bank‑rate yields, this likely isn’t the right fit.
- Those who require guarantees in investing
- Anyone expecting higher returns with zero risk
- Those content with bank savings rates and similar products
- People looking to get rich quick overnight
Institutional-Grade Strategy
Proven track record with exceptional returns and disciplined risk management
What Clients Say
Real results from clients who booked a strategy session with us.
COO, Finance Firm
32% less slippage, 18% better returns
Reduced slippage by 32% and saved 400+ hours a month on operations. Their execution stack is best-in-class, delivering 18% better returns than our previous solution.
Partner, Asset Manager
Sharpe ratio improved from 0.8 to 1.4
Robust process, clear risk management, and real communication. After our first strategy session, we implemented changes that improved our Sharpe ratio from 0.8 to 1.4 within 6 months.
Tech Founder
Eliminated 3.2% annual execution cost
Loved the transparency and the data-led approach. Their strategy session revealed inefficiencies in our execution that were costing us 3.2% annually. Refreshing to work with true professionals.
UHNW Client
Maintained 12% volatility target during market stress
Comfortable even through market drawdowns because I understand the system. Their risk management protocols kept my portfolio within the agreed 12% volatility target even during extreme market events.
Broker Partner
27% lower costs, 41% better execution
Institutional connectivity, clean post-trade, zero drama. Our clients have seen a 27% reduction in trading costs and 41% improvement in execution quality since implementing their recommendations.
COO, Finance Firm
32% less slippage, 18% better returns
Reduced slippage by 32% and saved 400+ hours a month on operations. Their execution stack is best-in-class, delivering 18% better returns than our previous solution.
Partner, Asset Manager
Sharpe ratio improved from 0.8 to 1.4
Robust process, clear risk management, and real communication. After our first strategy session, we implemented changes that improved our Sharpe ratio from 0.8 to 1.4 within 6 months.
Tech Founder
Eliminated 3.2% annual execution cost
Loved the transparency and the data-led approach. Their strategy session revealed inefficiencies in our execution that were costing us 3.2% annually. Refreshing to work with true professionals.
UHNW Client
Maintained 12% volatility target during market stress
Comfortable even through market drawdowns because I understand the system. Their risk management protocols kept my portfolio within the agreed 12% volatility target even during extreme market events.
Broker Partner
27% lower costs, 41% better execution
Institutional connectivity, clean post-trade, zero drama. Our clients have seen a 27% reduction in trading costs and 41% improvement in execution quality since implementing their recommendations.
COO, Finance Firm
32% less slippage, 18% better returns
Reduced slippage by 32% and saved 400+ hours a month on operations. Their execution stack is best-in-class, delivering 18% better returns than our previous solution.
Partner, Asset Manager
Sharpe ratio improved from 0.8 to 1.4
Robust process, clear risk management, and real communication. After our first strategy session, we implemented changes that improved our Sharpe ratio from 0.8 to 1.4 within 6 months.
Tech Founder
Eliminated 3.2% annual execution cost
Loved the transparency and the data-led approach. Their strategy session revealed inefficiencies in our execution that were costing us 3.2% annually. Refreshing to work with true professionals.
UHNW Client
Maintained 12% volatility target during market stress
Comfortable even through market drawdowns because I understand the system. Their risk management protocols kept my portfolio within the agreed 12% volatility target even during extreme market events.
Broker Partner
27% lower costs, 41% better execution
Institutional connectivity, clean post-trade, zero drama. Our clients have seen a 27% reduction in trading costs and 41% improvement in execution quality since implementing their recommendations.
COO, Finance Firm
32% less slippage, 18% better returns
Reduced slippage by 32% and saved 400+ hours a month on operations. Their execution stack is best-in-class, delivering 18% better returns than our previous solution.
Partner, Asset Manager
Sharpe ratio improved from 0.8 to 1.4
Robust process, clear risk management, and real communication. After our first strategy session, we implemented changes that improved our Sharpe ratio from 0.8 to 1.4 within 6 months.
Tech Founder
Eliminated 3.2% annual execution cost
Loved the transparency and the data-led approach. Their strategy session revealed inefficiencies in our execution that were costing us 3.2% annually. Refreshing to work with true professionals.
UHNW Client
Maintained 12% volatility target during market stress
Comfortable even through market drawdowns because I understand the system. Their risk management protocols kept my portfolio within the agreed 12% volatility target even during extreme market events.
Broker Partner
27% lower costs, 41% better execution
Institutional connectivity, clean post-trade, zero drama. Our clients have seen a 27% reduction in trading costs and 41% improvement in execution quality since implementing their recommendations.
Ready to achieve similar results for your trading strategy? Book your session now.
FAQ
Straight answers to the most common questions.
All trading carries risk. Our systems use volatility targeting, position limits, and drawdown caps. We share expected risk ranges and scenario tests before onboarding. Book a strategy session to discuss your specific risk tolerance.
Primarily major futures, FX and indices with high liquidity and robust data history. During your strategy session, we'll analyze which markets best match your goals.
We provide clear reporting, and on request, real‑time dashboards for positions and PnL. Our transparency is what sets us apart from competitors.
We size based on strategy and venue. Typical starting capital is discussed during your strategy session to ensure proper fit and optimal returns.
Positions are sized by volatility, with max position limits, daily loss limits, and strategy‑level drawdown caps. Execution is slippage‑aware. Our risk management protocols exceed industry standards.
Yes. We don't lock capital. Settlement timing depends on venue and instrument, typically T+1 to T+3. Your capital remains accessible, unlike many competitors.
Fees are transparent and discussed upfront during your strategy session. We typically use a management + performance structure aligned to the strategy and ticket size, ensuring our incentives align with your success.
We work with regulated EU brokers and maintain banking relationships in Switzerland. Execution venues are chosen for liquidity and stability, providing institutional-grade security for your assets.
Yes. We can generate periodic statements and year‑end summaries. Export formats are available on request, making tax season and compliance straightforward.
Book a strategy session using our calendar. During this call, we'll analyze your goals, discuss fit, and outline next steps. If there's alignment, we'll share documentation, expected risk/return ranges, and a personalized onboarding checklist.
Still have questions? Get personalized answers during a one-on-one strategy session with our experts.
Trusted Partners
We cooperate with regulated brokers and maintain banking relationships in Switzerland to ensure secure custody and execution quality.
Security
Swiss banking relationships and segregated accounts for maximum asset protection.
Compliance
Working with regulated counterparties in the EU to ensure full regulatory compliance.
Transparency
Clear risk disclosures, detailed reporting, and complete transaction transparency.
Book Your Meeting Today
Take the first step toward optimizing your trading strategy. Our experts will analyze your goals and create a tailored approach within 24 hours.
Contact Form
Secure and encrypted
Direct Contact
info@xxxtraders.sk
Phone
+420 735 827 089
Location
Příčná 1892/4, Nové Město, 110 00 Praha 1 Česká republika
Response Time
We typically respond within 24 hours during business days.
