AVCP Software

Capital Preservation Long-Term Growth Fully Automated Engineered for Stability

AVCP Software is a professional-grade automated trading system engineered to operate within a controlled execution environment. Unlike traditional retail trading tools, AVCP is not distributed as a standalone download. Instead, it is deployed within a professionally managed environment designed to promote consistent performance, reliable trade execution, and long-term system stability.

Pricing & Service - 30-Day Trial

AVCP Software Access - $1000 (plus tax)

Your purchase includes a 3-year license to access AVCP Software within a professionally managed execution environment designed for consistent operation, reliability, and long-term stability.

Managed Hosting & Technical Support - $100 per Month

The first months of hosting is included with your purchase. Thereafter, ongoing hosting is provided at $100 per month. This service includes:

Clients Maintain Full Control

Clients maintain full control of their brokerage account and may monitor all activity directly through their broker at any time.

30-Day Trial

If you decide within 30 days of purchase that the service is not suitable for you; you may request a full refund of your initial purchase.

The Portfolio

AVCP Software trades 24 currency pairs using three complementary proprietary trading strategies built around a unified Dynamic Equilibrium philosophy.

The strategies are designed to participate in different phases of a trend. One seeks earlier participation as directional energy begins to expand, a second seeks participation as the trend becomes more established, and a third seeks opportunities when an established trend pulls back and resumes.

AVCP Software uses a Dynamic Capital Allocation Framework to progressively deploy capital as market alignment strengthens. This allows the portfolio to participate selectively during developing trends while increasing exposure when market conditions provide stronger evidence of sustained opportunity.

The result is a diversified portfolio in which capital deployment varies according to both the strength of the market opportunity and the phase of the trend.

Verified Live Performance

At AVCP Software, we believe transparency is demonstrated through independent tracking of live performance under real market conditions.

Before commercial licenses are offered, the portfolio undergoes a two-stage validation process. Following initial validation under live market conditions using a demonstration account, the portfolio is now undergoing final validation on a live trading account funded with real capital. Performance is independently tracked through third-party analytics platforms, including FxBlue and MyFxBook. Commercial licensing will begin only after the live validation process has been successfully completed.

All performance results published through these platforms are generated from a live trading account using real funds and reflect actual market execution under real market conditions—not back-tested simulations or hypothetical performance.

We believe trust is earned through transparency. By making independently tracked live performance publicly available, AVCP Software provides prospective clients with an objective foundation for evaluating the portfolio's performance, consistency, and risk characteristics.

AVCP Software - Dynamic Equilibrium Trading Architecture

AVCP Software is built around a proprietary market principle known as Dynamic Equilibrium—the market condition in which directional trend, volatility expansion, and dynamic support and resistance become synchronized. Rather than attempting to predict market direction, AVCP Software identifies objectively measured market conditions and progressively deploys capital as market alignment strengthens.

The portfolio employs three complementary proprietary trading strategies designed to participate in different phases of developing and established trends. An early-participation strategy seeks to participate as directional energy begins to expand, a confirmed-trend strategy participates as directional persistence becomes more established, and a trend-continuation strategy seeks to participate following a pullback within an established trend.

These strategies operate within a unified six-layer decision-making architecture that evaluates strategic market conditions, aligns macro and micro market environments, qualifies trade opportunities, executes entries, manages open positions, and systematically contains risk as market conditions evolve.

Layer 1 - Strategic Market Participation

Determines whether the broader market is in a state of Directional Imbalance and possesses sufficient directional persistence to justify strategic participation. Only when favorable structural conditions exist are the remaining layers permitted to evaluate trading opportunities.

Layer 2 - Dynamic Equilibrium

Confirms that the micro market has transitioned from ordinary equilibrium into Directional Imbalance, aligning the micro market environment with the broader strategic conditions established in Layer 1.

Layer 3 - Trade Qualification

Evaluates micro-trend quality by measuring directional persistence, volatility expansion, and actual price movement to determine whether the trading opportunity possesses sufficient strength and integrity to justify capital deployment.

Layer 4 - Precision Execution

Determines the precise point of entry after the strategic, structural, and trade-quality requirements have been satisfied. Different strategies may use different entry mechanisms to participate in different phases of a trend.

Layer 5 - Position Management

Continuously monitors open positions and exits trades as Dynamic Equilibrium weakens or directional momentum begins to deteriorate.

Layer 6 - Risk Containment

Protects capital by systematically reducing exposure or temporarily suspending trading when predefined risk limits are reached, preserving the long-term stability of the portfolio.

The AVCP Approach

AVCP Software is built on a single investment philosophy founded on three principles:

  • Observe rather than predict.
  • Deploy capital progressively as market alignment strengthens.
  • Preserve capital to remain positioned for exceptional market trends.

Three complementary strategies operate within a unified Dynamic Capital Allocation Framework, allowing AVCP Software to participate at different stages of a trend while progressively adjusting capital exposure to changing market conditions.

This disciplined approach allows the market—not prediction—to determine when capital should be deployed and how much each opportunity deserves.

Verified Live Performance

Idependently monitored under live market conditions.

Three Strategies. One Philosophy

Progressive capital allocation based on market alignment.

Simple to Get Started

We help you install and start. No coding required