Jasper Dean
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Jasper Dean

Scalp and swing hybrid strategy operator

Verified Badge Certified Badge Licensed

Rating

3.0

Reviews

8

Success Rate

66.08%

Total Portfolio PnL

-USD 2,466.62

USD 104.00 / monthly

+USD 10,441.51 / pnl this month

Min USD 236.00 | Max USD 21,623.00

Portfolio

Asset Invested (USD) Current (USD) PnL Trades
Bitcoin (BTC) 64,187.00 60,977.65 -3,209.35 36/51
XRP (XRP) 27,622.00 25,964.68 -1,657.32 106/154
WTI Crude Oil (USOIL) 18,194.00 18,194.00 +0.00 191/273
Microsoft (MSFT) 32,449.00 35,693.90 +3,244.90 181/262
Solana (SOL) 16,897.00 16,052.15 -844.85 133/198

Ratings & Comments

Community feedback from active and past subscribers.

3.0 (8)
Adrian Cole

Adrian Cole

2025-12-03

2.0

After tracking this closely, I followed this profile personally and wanted to leave context, not only stars. I stayed in for roughly 81 days, then exited. I entered with approximately USD 20,220, and the recent mark shows about USD 15,569.40. The cycle is at roughly -USD 4,650.60 (23.00%), which is disappointing but not chaotic. A few entries felt late, especially after momentum was already extended. I would not recommend this for conservative users at the moment. This cycle underperformed my expectations, so I reduced confidence for now. Risk felt acceptable at times, but not consistently enforced. There were stretches where I had limited clarity on why sizing changed. After closing, I prefer to wait for stronger consistency before returning.

Nina Hart

Nina Hart

2026-01-17

3.0

I tracked it for about 35 days and then closed the position. Personal note: Sharing a structured review based on duration, drawdown, and communication quality. I started around USD 12,278, and the most recent value I saw was USD 9,945.18. Result sits near -USD 2,332.82 (19.00%), yet I did not see reckless behavior. Weekly context helped me understand why pacing changed. Overall positive, though update cadence could improve during event-heavy sessions. I noticed some hesitation on exits during quick reversals. I saw moments where downside control could have been sharper. Since this run is complete, I will reevaluate later under new conditions.

Ella Foster

Ella Foster

2026-03-13

4.0

Quick context first: Posting this because I wanted to show what the cycle felt like. I followed for around 15 days before redeeming and closing the cycle. Current drawdown is about -USD 1,715.04 (8.00%), but risk handling remained disciplined. I committed around USD 21,438, and the current valuation is roughly USD 19,722.96. I could understand why positions were opened, trimmed, or closed. Comments around invalidation and risk reductions were practical. Exposure was not pushed beyond what felt reasonable for this profile. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. Now that I exited, I would still consider re-entry in a future cycle.

Mila Stone

Mila Stone

2025-12-31

4.0

Real account context: Real account, real outcome, direct feedback below. I am currently in profit by about +USD 1,182.72 (28.00%), and the path was relatively stable. Starting allocation was near USD 4,224; latest value came to about USD 5,406.72. After approximately 80 days, I decided to end this allocation. Communication was clear enough for me to follow the logic week by week. Losing setups were generally cut without emotional hesitation. Stops and de-risking looked predefined rather than improvised. After closing, I prefer to wait for stronger consistency before returning.

Blake Ryan

Blake Ryan

2026-01-20

2.0

My initial size was close to USD 12,622, with current value around USD 12,369.56. Subscriber perspective: I was cautious before subscribing, so I tracked this closely. My run lasted about 68 days and is now completed. Result sits near -USD 252.44 (2.00%), yet I did not see reckless behavior. I wanted faster communication during key market turns. I needed stronger consistency to justify another full allocation. I saw moments where downside control could have been sharper. Some decisions looked defensible, but not all were well-timed. I would only consider this with smaller size until consistency improves. This result was clearly below my expectations and I am unlikely to scale again soon. Since this run is complete, I will reevaluate later under new conditions.

Daniel Reed

Daniel Reed

2025-12-14

3.0

It has been close to 33 days so far, with no redemption yet. My direct take: Sharing a structured review based on duration, drawdown, and communication quality. I started around USD 15,837, and the most recent value I saw was USD 20,112.99. So far it translates to about +USD 4,275.99 (27.00%), without unusual risk spikes. Update notes were concise and useful when exposure changed. Good structure, with room for slightly cleaner timing in choppy markets. I would only consider this with smaller size until consistency improves. There was no emotional averaging, which I value a lot. For now I am staying in and reassessing after the next review window.

Clara Boyd

Clara Boyd

2026-01-20

4.0

Subscriber perspective: I will keep this straightforward. Current result is near +USD 8,670.56 (47.00%) with steady risk behavior across the cycle. Starting allocation was near USD 18,448; latest value came to about USD 27,118.56. My position has stayed live for approximately 52 days. Capital preservation clearly remained part of the decision framework. Entries were usually at planned zones rather than late chases. Reporting quality made it easier to stay objective through volatility. I plan to continue one more cycle before deciding on scaling.

Caleb Ward

Caleb Ward

2026-02-08

3.0

It has been close to 114 days so far, with no redemption yet. After tracking this closely, This review reflects measured performance and risk behavior over a full cycle. I started around USD 11,737, and the most recent value I saw was USD 14,788.62. I am currently in profit by about +USD 3,051.62 (26.00%), and the path was relatively stable. Execution quality stayed fairly consistent even during fast sessions. The process is disciplined, but I would prefer more frequent interim notes. There were stretches where I had limited clarity on why sizing changed. Capital preservation clearly remained part of the decision framework. I will keep this open for now, but I am monitoring risk closely.

About This Agent

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

Country

Japan flag Japan

Experience

14 years (since 2012)

Primary Market Focus

Forex majors and indices

License / Registry

TRD-56AC6B

Professional Summary

From Tokyo, Japan, Jasper oversees a scalp and swing hybrid strategy operator model and keeps capital defense central to every decision. Execution standards were shaped by live-market repetition where capital preservation mattered more than ego. Trade plans are drafted before entry with explicit invalidation and partial take-profit rules. Correlation checks are part of portfolio construction so multiple positions do not become one hidden bet.

Concentration exposure is reviewed continuously so one theme cannot dominate the full account. Leverage use is conservative by design, especially around event-driven sessions. 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.

Education & Credentials

  • Education: EDHEC Business School - Portfolio Construction Track
  • Certification: Advanced Position Sizing & Risk Controls
  • Verified: Yes - identity and profile validated
  • Certified: Yes - strategy/capability badge active

Track Record Timeline

  • Started Trading: 2012
  • Career Origin: Systematic strategy desk
  • Lead Manager Since: 2014
  • Reporting Style: Post-trade journaling + weekly risk report

Risk & Strategy Framework

Risk model: Balanced risk with strict downside limits

  • Volatility-adjusted position sizing on every setup
  • Partial-profit logic to protect realized gains
  • Execution quality tracking (slippage + timing)
  • Top-down regime filter before entry selection

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Expert requirements

Min investment: USD 236.00 | Max investment: USD 21,623.00

Expert fee: USD 104.00 / 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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