Noor Van Dijk
France flag

Noor Van Dijk

Scalp and swing hybrid strategy operator

Verified Badge Certified Badge Licensed

Rating

3.0

Reviews

14

Success Rate

81.53%

Total Portfolio PnL

+USD 34,126.74

USD 234.00 / monthly

+USD 9,360.73 / pnl this month

Min USD 550.00 | Max USD 42,479.00

Portfolio

Asset Invested (USD) Current (USD) PnL Trades
NASDAQ 100 (US100) 59,417.00 80,807.12 +21,390.12 263/323
NVIDIA Corp. (NVDA) 70,487.00 74,716.22 +4,229.22 276/351
Gold Spot (XAUUSD) 45,066.00 56,332.50 +11,266.50 241/285
Microsoft (MSFT) 45,985.00 43,225.90 -2,759.10 204/260

Ratings & Comments

Community feedback from active and past subscribers.

3.0 (14)
Ryan Brooks

Ryan Brooks

2026-03-23

3.0

From my side, Real account, real outcome, direct feedback below. At this stage I am up roughly +USD 6,106.24 (16.00%), which fits the stated risk profile. Starting allocation was near USD 38,164; latest value came to about USD 44,270.24. After approximately 65 days, I decided to end this allocation. The trade sequence looked structured instead of random signal hopping. Drawdown handling appeared intentional and measured. Reporting could be more detailed, especially around losing periods. I would still like faster reactions during sudden reversals, but the framework is solid. 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.

Isaac Holt

Isaac Holt

2026-02-24

2.0

My initial size was close to USD 17,121, with current value around USD 12,155.91. For anyone considering this agent, I do not trust glossy stats, so this review is based on real execution behavior. My run lasted about 70 days and is now completed. Current drawdown is about -USD 4,965.09 (29.00%), but risk handling remained disciplined. I needed stronger consistency to justify another full allocation. Some reductions came later than I was comfortable with. I reduced confidence after this run and will keep future allocations smaller unless results stabilize. Communication quality was inconsistent from week to week. Unless execution improves materially, I will stay out after this run. Compared with other profiles I tested, this one felt less stable in both timing and communication. I tracked this weekly against my own notes, not just daily PnL screenshots. I am being strict here because I c

Lily Quinn

Lily Quinn

2026-01-29

3.0

Subscriber perspective: Short version: this review is from my own capital allocation. Capital deployed was about USD 4,271; latest estimate sits near USD 3,416.80. After about 107 days, I kept this allocation open. Result sits near -USD 854.20 (20.00%), yet I did not see reckless behavior. For now, I would suggest caution before allocating larger capital here. Communication was clear enough for me to follow the logic week by week. There were sessions where execution timing looked slower than expected. I saw moments where downside control could have been sharper. I tracked this weekly against my own notes, not just daily PnL screenshots. I plan to continue one more cycle before deciding on scaling.

Caleb Ward

Caleb Ward

2026-02-11

2.0

In plain terms, I will keep this straightforward. I am down about -USD 3,845.45 (35.00%) currently, though downside was managed professionally. Starting allocation was near USD 10,987; latest value came to about USD 7,141.55. My position has stayed live for approximately 98 days. I reduced confidence after this run and will keep future allocations smaller unless results stabilize. The outcome did not meet my target, even if risk control was still present. I do not consider this cycle acceptable for my portfolio standards. Updates were sometimes too brief when volatility increased. The sequence occasionally felt reactive rather than fully planned. Compared with other profiles I tested, this one felt less stable in both timing and communication. 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.

Connor Gray

Connor Gray

2026-02-23

3.0

Based on my own allocation, I do not usually write long reviews, but this one should help others. I have followed for about 135 days and the allocation is still active. At the moment I am around -USD 6,196.05 (15.00%). Not ideal, but management stayed controlled. I committed around USD 41,307, and the current valuation is roughly USD 35,110.95. I would still like faster reactions during sudden reversals, but the framework is solid. Reporting could be more detailed, especially around losing periods. Position sizing occasionally felt too aggressive for my profile. Trade timing was mixed and not always as clean as I wanted. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. Still invested at the moment, with no plan to change size yet.

Mila Stone

Mila Stone

2026-02-26

4.0

My direct take: I followed this profile personally and wanted to leave context, not only stars. I am around 81 days into this cycle and still invested. I entered with approximately USD 29,610, and the recent mark shows about USD 35,828.10. So far it translates to about +USD 6,218.10 (21.00%), without unusual risk spikes. Capital preservation clearly remained part of the decision framework. Reporting quality made it easier to stay objective through volatility. The execution rhythm felt professional and repeatable. 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

15 years (since 2011)

Primary Market Focus

Mixed multi-asset trend basket

License / Registry

TRD-F560FF

Professional Summary

Noor currently leads a scalp and swing hybrid strategy operator strategy desk in Paris, France and follows strict risk governance. A large part of this style came from studying slippage behavior and how setups fail during stressed liquidity. Correlation checks are part of portfolio construction so multiple positions do not become one hidden bet. The model accepts inactive sessions instead of forcing trades when edge quality is weak.

Stops and protective logic are enforced mechanically to avoid emotional averaging. Risk is capped per idea with volatility-adjusted sizing and predefined de-risk triggers. Communication aims to reduce confusion during volatility, including clear no-trade reasoning when needed. Post-trade reviews explain whether outcomes came from process quality or temporary market tailwind. Additional context: Noor is based in Paris, France and runs a scalp and swing hybrid strategy operator mandate with consistency as the first priority.

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: 2011
  • Career Origin: Cross-asset portfolio desk
  • Lead Manager Since: 2012
  • Reporting Style: Post-trade journaling + weekly risk report

Risk & Strategy Framework

Risk model: Asymmetric setup selection with capped exposure

  • No-trade discipline when market quality is weak
  • Liquidity-first instrument selection
  • Volatility-adjusted position sizing on every setup
  • Partial-profit logic to protect realized gains

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Expert requirements

Min investment: USD 550.00 | Max investment: USD 42,479.00

Expert fee: USD 234.00 / 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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