Calvin Pierce
Italy flag

Calvin Pierce

Momentum and breakout execution specialist

Verified Badge Certified Badge Licensed

Rating

4.0

Reviews

12

Success Rate

80.53%

Total Portfolio PnL

+USD 61,286.51

USD 285.00 / monthly

+USD 6,790.17 / pnl this month

Min USD 514.00 | Max USD 38,664.00

Portfolio

Asset Invested (USD) Current (USD) PnL Trades
Bitcoin (BTC) 63,439.00 78,029.97 +14,590.97 247/292
Apple Inc. (AAPL) 63,066.00 71,264.58 +8,198.58 280/324
Gold Spot (XAUUSD) 26,470.00 31,234.60 +4,764.60 80/101
WTI Crude Oil (USOIL) 15,870.00 21,265.80 +5,395.80 79/106
Microsoft (MSFT) 26,298.00 35,765.28 +9,467.28 281/388
NASDAQ 100 (US100) 78,622.00 97,491.28 +18,869.28 243/313

Ratings & Comments

Community feedback from active and past subscribers.

4.0 (12)
Lucy Blake

Lucy Blake

2026-02-20

5.0

From my side, Quick subscriber note with real numbers from my account. Capital deployed was about USD 24,778; latest estimate sits near USD 36,175.88. After about 144 days, I kept this allocation open. At this stage I am up roughly +USD 11,397.88 (46.00%), which fits the stated risk profile. I would still recommend this to users who care more about process discipline than hype. Position sizing stayed controlled even when the market got noisy. I rarely felt left guessing about current risk posture. The trade sequence looked structured instead of random signal hopping. I tracked this weekly against my own notes, not just daily PnL screenshots. Still invested at the moment, with no plan to change size yet.

Maya Flynn

Maya Flynn

2026-03-22

3.0

For anyone considering this agent, Real account, real outcome, direct feedback below. Current drawdown is about -USD 531.96 (33.00%), but risk handling remained disciplined. Starting allocation was near USD 1,612; latest value came to about USD 1,080.04. My position has stayed live for approximately 67 days. The sequence occasionally felt reactive rather than fully planned. Net-net acceptable for me, but there are clear areas that should improve. Some reductions came later than I was comfortable with. Communication quality was inconsistent from week to week. I am keeping the allocation active for now and will review again next month.

Adrian Cole

Adrian Cole

2026-02-01

3.0

It has been close to 145 days so far, with no redemption yet. Quick context first: Sharing a structured review based on duration, drawdown, and communication quality. I started around USD 28,737, and the most recent value I saw was USD 24,139.08. Current drawdown is about -USD 4,597.92 (16.00%), but risk handling remained disciplined. Communication quality was inconsistent from week to week. Some reductions came later than I was comfortable with. I noticed some hesitation on exits during quick reversals. Net-net acceptable for me, but there are clear areas that should improve. I am keeping the allocation active for now and will review again next month.

Clara Boyd

Clara Boyd

2026-01-03

4.0

My initial size was close to USD 5,264, with current value around USD 5,948.32. From my side, I do not trust glossy stats, so this review is based on real execution behavior. The subscription has been running for roughly 97 days on my side. At this stage I am up roughly +USD 684.32 (13.00%), which fits the stated risk profile. I rarely felt left guessing about current risk posture. For investors with moderate risk tolerance, this can be a reasonable profile to consider. Position sizing stayed controlled even when the market got noisy. Losing setups were generally cut without emotional hesitation. I tracked this weekly against my own notes, not just daily PnL screenshots. Still invested at the moment, with no plan to change size yet.

About This Agent

Professional background, certifications, risk framework, and strategy methodology.

Country

Italy flag Italy

Experience

11 years (since 2015)

Primary Market Focus

Commodities and macro-sensitive pairs

License / Registry

TRD-8568F7

Professional Summary

Calvin currently leads a momentum and breakout execution specialist strategy desk in Milan, Italy and follows strict risk governance. Execution standards were shaped by live-market repetition where capital preservation mattered more than ego. Trend participation is balanced with pullback discipline to avoid late, emotional entries. Position additions are conditional and never automatic; confirmation comes before scaling.

Concentration exposure is reviewed continuously so one theme cannot dominate the full account. Reporting includes both strong and weak stretches to keep expectations grounded in reality. Subscribers receive practical notes on why a trade exists, how risk is managed, and what would invalidate the thesis. This style generally fits users who prefer controlled drawdowns and repeatable compounding over aggressive swings. Most onboarding starts around USD 514, with scale-up toward USD 38,664 done gradually after consistent cycles.

Education & Credentials

  • Education: NYIF - Derivatives and Risk Management
  • Certification: Series 57 Equities Trader
  • Verified: Yes - identity and profile validated
  • Certified: Yes - strategy/capability badge active

Track Record Timeline

  • Started Trading: 2015
  • Career Origin: Prop trading desk
  • Lead Manager Since: 2019
  • Reporting Style: Session summaries + monthly drawdown audit

Risk & Strategy Framework

Risk model: Process-first with conservative leverage rules

  • Liquidity-first instrument selection
  • Volatility-adjusted position sizing on every setup
  • Partial-profit logic to protect realized gains
  • Execution quality tracking (slippage + timing)

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Expert requirements

Min investment: USD 514.00 | Max investment: USD 38,664.00

Expert fee: USD 285.00 / monthly

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Risk Warning

Trading with experts can be profitable but is highly risky. You may lose part or all of the invested amount. You can redeem anytime, but market outcomes can be negative. Platform and expert do not guarantee profit and are not responsible for losses. You decide if this risk level is acceptable.

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