VERIFIED TRADING RESULTS

EVERY RESULT INDEPENDENTLY VERIFIED

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Seely Trading is built around transparency


Every trading record shown below is tracked through Myfxbook, allowing visitors to independently review performance, drawdown, trading history and account statistics


No cherry-picked screenshots. No demo accounts. No unrealistic claims


Just real trading records available for public review

VERIFIED PERFORMANCE

Publicly Verified

Independently verified trading records are published so prospective members can evaluate real performance rather than marketing claims

Live Trading Only

Results are from manually traded live accounts. No cherry-picked trades, no simulated demo accounts and no unrealistic claims

Third-Party Verification

Every strategy links directly to its live Myfxbook verification page where statistics and history can be independently reviewed

FXPS MANUAL TRADING

- Duration: a full year of trading | 175 trades
- Diverse range of Forex pairs and some Commodities
- Risk management: medium risk
- Risk vs Reward: 1:1.82
- Highest gain: 126%, Overall gain: 88.9%
- 17.8% max drawdown
- Strike rate: 37.7%
- Profit Factor: 1.2

Comments: A steady longer-term trading strategy combining diversification of pairs and strategies to enhance gain over time. Click image to go to site page for more information.

NASUS (live*)

- Duration: 11 months (live*) | 95 trades
- NAS100 and US30 (DOW) only
- Risk management: very high risk (expect extreme volatility)
- Risk vs Reward ratio: 1:1.18
- Highest gain 107%, (current can be viewed live via link on image)
- Drawdown 56%
- Strike rate: 46%
- Profit factor: 1

Comments: *Results will change with live trading. Very high risk with higher peak highs and higher drawdown expected. Taking advantage of a trading strategy combining technicals, breakouts, time zones and key levels/POI's. Click image to go to site page for more information and most recent results.

SEELY TRADING CAPITAL (live*)

- Duration: on-going from June 2026 (live)
- FX Commodities and Indices
- Risk management: low risk
- Risk vs Reward ratio: TBC
- Highest gain TBC
- Drawdown TBC
- Strike rate: TBC
- Profit factor: TBC

Comments: *Results will change with live trading. Consistent risk-adjusted returns with disciplined risk management. Multiple strategies traded stemming from a decade of experience.

DUNAMIS

- Duration: 2 months + 1 week of trading | 375 trades
- GBP/USD only
- Risk management: low risk
- Risk vs Reward ratio: High @ ~1:7
- Highest gain: 46.4%, Overall gain: 41.7%
- Strike rate: 21%
- Profit factor: 1.33

Comments: A short term intensive strategy focused on GBP/USD solely. Reliant on the highly favourable reward factor. Click image to go to site page for more information.

FXPS OIL

- Duration: 1 month 5 days | 5 trades
- USOIL (crude) only
- Risk management: higher risk
- Risk vs Reward: 110:1 (limited sample)
- Highest and overall gain: 31.24%
- Strike rate: 60%
- Profit factor: 17.21

Comments: A short term opportunity due to fundemantals and technicals combining to create a profitable trading environment. After the opportunity had passed the trading ceased. Click image to go to site page for more information.

FX BREAKOUT

- Duration: 1 year 8 months | 1,754 trades
- Forex major and minor pairs commodities and indices
- Risk management: initially low to medium, moving to high
- Risk vs Reward: 1:4.7
- Highest gain: 40%, Overall gain: -46.23%
- Strike rate: 28.7%
- Profit factor: 0.82

Comments: My first live strategy in real trading conditions. I started well and initially operated within key strategy elements with risk management. Eventually, I lost discipline and became sidetracked with adding/changing strategy elements losing my edge. Psychologically I became tilted due to losing the balance between RvR and Strike rate (edge), and seeing multiple losses. I go into detail about this in the membership calls to help traders avoid the mistakes I made.

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