Julian Frost
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Julian Frost

Event-driven equities setup analyst

Verified Badge Licensed

Rating

4.0

Reviews

10

Success Rate

85.37%

Total Portfolio PnL

-USD 7,934.83

USD 124.00 / monthly

+USD 8,458.26 / pnl this month

Min USD 762.00 | Max USD 13,078.00

Portfolio

Asset Invested (USD) Current (USD) PnL Trades
British Pound / US Dollar (GBPUSD) 57,802.00 53,755.86 -4,046.14 255/299
NVIDIA Corp. (NVDA) 37,231.00 43,560.27 +6,329.27 46/52
Ethereum (ETH) 76,008.00 67,647.12 -8,360.88 85/104
Microsoft (MSFT) 11,268.00 12,056.76 +788.76 123/136
Solana (SOL) 33,073.00 30,427.16 -2,645.84 59/72

Ratings & Comments

Community feedback from active and past subscribers.

4.0 (10)
Nathan Hill

Nathan Hill

2026-03-06

4.0

My initial size was close to USD 4,453, with current value around USD 6,501.38. For anyone considering this agent, I was cautious before subscribing, so I tracked this closely. My run lasted about 15 days and is now completed. Net outcome is around +USD 2,048.38 (46.00%), and the path there felt controlled. Weekly context helped me understand why pacing changed. Most decisions felt process-driven rather than emotional. Risk limits were respected and I did not notice reckless leverage. 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

2025-12-25

4.0

For anyone considering this agent, I will keep this straightforward. Current drawdown is about -USD 1,134.56 (14.00%), but risk handling remained disciplined. Starting allocation was near USD 8,104; latest value came to about USD 6,969.44. After approximately 82 days, I decided to end this allocation. Overall, I would shortlist this agent again for a similarly sized allocation. Entries were usually at planned zones rather than late chases. Risk limits were respected and I did not notice reckless leverage. Now that I exited, I would still consider re-entry in a future cycle.

Levi Woods

Levi Woods

2026-03-19

5.0

Real account context: I will keep this straightforward. I am currently in profit by about +USD 0.00 (0.00%), and the path was relatively stable. Starting allocation was near USD 5,698; latest value came to about USD 5,698.00. After approximately 32 days, I decided to end this allocation. Update notes were concise and useful when exposure changed. Overall, I would shortlist this agent again for a similarly sized allocation. Most decisions felt process-driven rather than emotional. I tracked this weekly against my own notes, not just daily PnL screenshots. After closing, I prefer to wait for stronger consistency before returning.

Ryan Brooks

Ryan Brooks

2026-01-17

4.0

I tracked it for about 86 days and then closed the position. Based on my own allocation, This review reflects measured performance and risk behavior over a full cycle. I started around USD 1,756, and the most recent value I saw was USD 2,089.64. At this stage I am up roughly +USD 333.64 (19.00%), which fits the stated risk profile. Exposure was not pushed beyond what felt reasonable for this profile. Comments around invalidation and risk reductions were practical. Execution quality stayed fairly consistent even during fast sessions. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. After redeeming, I would classify this as disciplined but mixed.

Maya Flynn

Maya Flynn

2026-01-29

5.0

I tracked it for about 28 days and then closed the position. Based on my own allocation, This review reflects measured performance and risk behavior over a full cycle. I started around USD 11,225, and the most recent value I saw was USD 11,898.50. At this stage I am up roughly +USD 673.50 (6.00%), which fits the stated risk profile. Drawdown handling appeared intentional and measured. Position management looked deliberate, especially around volatile hours. For investors with moderate risk tolerance, this can be a reasonable profile to consider. I appreciated that weaker trades were reported openly, not hidden. After redeeming, I would classify this as disciplined but mixed.

Hunter Shaw

Hunter Shaw

2026-01-02

4.0

Based on my own allocation, I followed this profile personally and wanted to leave context, not only stars. I stayed in for roughly 75 days, then exited. I entered with approximately USD 10,719, and the recent mark shows about USD 13,720.32. At this stage I am up roughly +USD 3,001.32 (28.00%), which fits the stated risk profile. Update notes were concise and useful when exposure changed. There was no emotional averaging, which I value a lot. The execution rhythm felt professional and repeatable. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. After redeeming, I would classify this as disciplined but mixed.

Hannah Dean

Hannah Dean

2026-01-13

2.0

Real account context: Short version: this review is from my own capital allocation. Capital deployed was about USD 10,018; latest estimate sits near USD 8,415.12. This review covers a completed cycle of around 45 days. The cycle is at roughly -USD 1,602.88 (16.00%), which is disappointing but not chaotic. There were stretches where I had limited clarity on why sizing changed. I was not fully satisfied with results despite acceptable risk discipline. I needed faster risk-off reactions in this cycle, especially when momentum flipped abruptly. Risk felt acceptable at times, but not consistently enforced. I closed with low confidence and would not currently recommend this profile. There were sessions where execution timing looked slower than expected. After closing, I prefer to wait for stronger consistency before returning.

Connor Gray

Connor Gray

2025-11-30

4.0

It has been close to 84 days so far, with no redemption yet. My direct take: This review reflects measured performance and risk behavior over a full cycle. I started around USD 1,580, and the most recent value I saw was USD 2,243.60. So far it translates to about +USD 663.60 (42.00%), without unusual risk spikes. Capital preservation clearly remained part of the decision framework. Execution quality stayed fairly consistent even during fast sessions. For investors with moderate risk tolerance, this can be a reasonable profile to consider. Reporting quality made it easier to stay objective through volatility. I tracked this weekly against my own notes, not just daily PnL screenshots. For now I am staying in and reassessing after the next review window.

About This Agent

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

Country

France flag France

Experience

12 years (since 2014)

Primary Market Focus

Commodities and macro-sensitive pairs

License / Registry

TRD-79E8AA

Professional Summary

Julian manages a event-driven equities setup analyst program out of Paris, France, combining structured research with disciplined execution. Most process upgrades came from analyzing difficult periods and tightening what had to be improved in risk control. The model accepts inactive sessions instead of forcing trades when edge quality is weak. Setups are filtered through structure, momentum, and liquidity checks before any exposure is added.

Capital defense comes first: when conditions degrade, selectivity rises and size falls quickly. Stops and protective logic are enforced mechanically to avoid emotional averaging. Updates are written in plain language so users can track logic without needing institutional trading background. Communication aims to reduce confusion during volatility, including clear no-trade reasoning when needed. It is usually a strong match for subscribers who value structure, patience, and transparent risk decisions.

Education & Credentials

  • Education: Imperial College - Data-Driven Trading Module
  • Certification: Regulated KYC/AML Professional Training
  • Verified: Yes - identity and profile validated
  • Certified: Not certified yet

Track Record Timeline

  • Started Trading: 2014
  • Career Origin: Prop trading desk
  • Lead Manager Since: 2017
  • Reporting Style: Weekly strategy report + monthly allocation review

Risk & Strategy Framework

Risk model: Process-first with conservative leverage rules

  • Hard invalidation levels with pre-defined exits
  • No-trade discipline when market quality is weak
  • Liquidity-first instrument selection
  • Volatility-adjusted position sizing on every setup

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Expert requirements

Min investment: USD 762.00 | Max investment: USD 13,078.00

Expert fee: USD 124.00 / 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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