Execute is trading infrastructure that routes signals to your broker, manages trade lifecycle, and tracks performance across multiple accounts.
Execute is infrastructure that sits between your trading signals and your broker accounts. It receives alerts, places orders, manages exits, and tracks performance — without holding your credentials or making trading decisions for you.
Execute is built for traders who already have a strategy — discretionary or systematic — and need reliable execution across one or more broker accounts.
You fit if:
Execute is not for traders looking for strategies. It does not generate signals, recommend instruments, or manage your portfolio allocation. You bring the strategy. Execute runs it.
A TradingView alert fires. Execute receives the webhook, resolves the instrument across exchanges, calculates position size based on your per-account risk configuration, and places MARKET orders on every enabled broker account — simultaneously.
The risk engine supports three sizing modes:
When both capital and risk constraints are set, the tighter one wins. Orders that exceed exchange freeze limits are automatically split into smaller batches.
If an order is rejected for insufficient margin, Execute retries at one lot less, stepping down until the order fills or reaches zero. No manual intervention required.
Once a trade is open, the Trade Manager (TM) takes over. TM runs a state machine with three phases:
TM does not exit on intraday price ticks. It waits for candle confirmation on the configured timeframe before triggering an exit. This eliminates panic exits from intraday noise.
When both CbC trail and R-trail are active, TM picks the more protective SL. For longs, that means the higher stop wins. SL movement is monotonic — it only improves, never degrades.
At the strategy level, Kill Switch provides aggregate profit and loss thresholds. When combined strategy P&L crosses your configured limit, TM exits all open trades in that strategy automatically.
Every trade, every SL adjustment, and every exit is logged. You get R-multiple tracking, per-strategy equity curves, and a full audit trail of TM decisions — including which candle triggered which SL move and why.
This is not a third-party analytics overlay. The same system that executes your trades records the data. No reconciliation gaps between your broker statement and your performance dashboard.
Your credentials stay in YOUR Google Sheet. Execute reads your broker API keys from a Google Sheet that you own and control. The platform never stores your credentials in a database. You grant read-only access to a service account, and you can revoke it at any time.
Cloud execution, not desktop software. Execute runs on cloud infrastructure. No VPS to maintain, no desktop app to keep running, no "my laptop restarted during market hours" incidents. Candle data syncs every minute. Exit decisions run on cloud infrastructure.
Multi-account from day one. Execute does not bolt on multi-account as a premium feature. The entire architecture — risk sizing, order placement, reconciliation, exit management — is designed for parallel execution across accounts. One signal, multiple accounts, one audit trail.
Built by a trader running this system on real capital across multiple broker accounts.
The free tier gives you one broker account with bring-your-own-strategy (BYOS) execution. You get the full risk engine — the system sizes your position, splits large orders to meet exchange limits, retries if your broker rejects for margin, and confirms every fill. No time limit.
The free tier does not include built-in strategies or exit management (TM). Those are part of the Pro tier, priced per unit (each account + each strategy deployment on that account = one unit).
Need custom automation beyond built-in strategies? Talk to us.