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Professional Pairs with Swarm

Portfolio Design with Swarm

Multi-strategy, multi-instrument portfolios using the Swarm EA.

How Swarm combines trend, mean-reversion, and range detection into a single portfolio. Covers correlation-aware sizing, news filtering, and choosing an aggression profile that matches the capital you can afford to expose.

6Lessons
3 hrsContent
$149Standalone

Curriculum

  1. 01

    Trend, mean-reversion, and range — what each is looking for and how confidence weighting resolves conflicts.

  2. 02
    Correlation-aware sizing in practice
    Locked 17 min

    Why EUR/USD and GBP/USD are not two trades — and how Swarm caps the joint exposure.

  3. 03
    Conservative, Balanced, Aggressive
    Locked 15 min

    What each profile actually changes, expected drawdown ranges, and matching profile to account size.

  4. 04
    The economic calendar filter
    Locked 13 min

    Which events Swarm sits out, how the buffer works, and when to disable it.

  5. 05
    Backtesting Swarm honestly
    Locked 20 min

    Realistic spread modelling, out-of-sample splits, and the pass/fail checklist.

  6. 06
    Going live — first 30 days
    Locked 14 min

    Warm-up sizing, what to log, and the four numbers that tell you whether it is behaving as tested.