Yuki Tanaka
Poland flag

Yuki Tanaka

Macro-assisted forex and indices trader

Certified Badge Licensed

Rating

4.0

Reviews

16

Success Rate

77.02%

Total Portfolio PnL

+USD 62,659.45

USD 281.00 / monthly

+USD 5,987.55 / pnl this month

Min USD 410.00 | Max USD 23,532.00

Portfolio

Asset Invested (USD) Current (USD) PnL Trades
NASDAQ 100 (US100) 68,611.00 73,413.77 +4,802.77 53/67
Ethereum (ETH) 9,100.00 12,012.00 +2,912.00 305/406
WTI Crude Oil (USOIL) 11,603.00 14,503.75 +2,900.75 209/264
British Pound / US Dollar (GBPUSD) 63,712.00 80,277.12 +16,565.12 153/207
Solana (SOL) 61,599.00 73,302.81 +11,703.81 147/204
Gold Spot (XAUUSD) 79,250.00 103,025.00 +23,775.00 291/393

Ratings & Comments

Community feedback from active and past subscribers.

4.0 (16)
Isaac Holt

Isaac Holt

2026-01-07

4.0

My initial size was close to USD 19,602, with current value around USD 19,405.98. Real account context: I was cautious before subscribing, so I tracked this closely. My run lasted about 90 days and is now completed. The cycle is at roughly -USD 196.02 (1.00%), which is disappointing but not chaotic. Risk limits were respected and I did not notice reckless leverage. Most decisions felt process-driven rather than emotional. Weekly context helped me understand why pacing changed. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. After closing, I prefer to wait for stronger consistency before returning.

Ivy Turner

Ivy Turner

2026-03-23

4.0

I tracked it for about 63 days and then closed the position. My direct take: Sharing a structured review based on duration, drawdown, and communication quality. I started around USD 15,346, and the most recent value I saw was USD 16,727.14. So far it translates to about +USD 1,381.14 (9.00%), without unusual risk spikes. I could understand why positions were opened, trimmed, or closed. Position sizing stayed controlled even when the market got noisy. I rarely felt left guessing about current risk posture. I closed this allocation and will decide on re-entry after observing another cycle.

Ella Foster

Ella Foster

2026-03-18

3.0

My direct take: Posting this because I wanted to show what the cycle felt like. I have followed for about 107 days and the allocation is still active. I am down about -USD 784.41 (33.00%) currently, though downside was managed professionally. I committed around USD 2,377, and the current valuation is roughly USD 1,592.59. Trade timing was mixed and not always as clean as I wanted. Good structure, with room for slightly cleaner timing in choppy markets. Updates were sometimes too brief when volatility increased. I expected tighter drawdown control than what I experienced. For now I am staying in and reassessing after the next review window.

Jordan Bell

Jordan Bell

2026-01-23

5.0

In plain terms, Real account, real outcome, direct feedback below. So far it translates to about +USD 4,855.50 (39.00%), without unusual risk spikes. Starting allocation was near USD 12,450; latest value came to about USD 17,305.50. My position has stayed live for approximately 195 days. Losing setups were generally cut without emotional hesitation. Stops and de-risking looked predefined rather than improvised. Communication was clear enough for me to follow the logic week by week. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. For now I am staying in and reassessing after the next review window.

Adrian Cole

Adrian Cole

2026-03-16

4.0

From my side, Quick subscriber note with real numbers from my account. Capital deployed was about USD 22,611; latest estimate sits near USD 17,184.36. After about 172 days, I kept this allocation open. At the moment I am around -USD 5,426.64 (24.00%). Not ideal, but management stayed controlled. The trade sequence looked structured instead of random signal hopping. I would still recommend this to users who care more about process discipline than hype. Risk limits were respected and I did not notice reckless leverage. Weekly context helped me understand why pacing changed. Still invested at the moment, with no plan to change size yet.

Lily Quinn

Lily Quinn

2026-02-03

5.0

After tracking this closely, Posting this because I wanted to show what the cycle felt like. I have followed for about 124 days and the allocation is still active. I am currently in profit by about +USD 5,712.40 (40.00%), and the path was relatively stable. I committed around USD 14,281, and the current valuation is roughly USD 19,993.40. Drawdown handling appeared intentional and measured. I could understand why positions were opened, trimmed, or closed. I appreciated that weaker trades were reported openly, not hidden. Market conditions were not easy during this period, so process quality mattered more to me than a single snapshot result. I will keep this open for now, but I am monitoring risk closely.

Levi Woods

Levi Woods

2025-12-07

5.0

My initial size was close to USD 14,742, with current value around USD 15,773.94. For anyone considering this agent, I was cautious before subscribing, so I tracked this closely. The subscription has been running for roughly 126 days on my side. Net outcome is around +USD 1,031.94 (7.00%), and the path there felt controlled. Stops and de-risking looked predefined rather than improvised. Most decisions felt process-driven rather than emotional. For investors with moderate risk tolerance, this can be a reasonable profile to consider. Communication was clear enough for me to follow the logic week by week. I am keeping the allocation active for now and will review again next month.

Daniel Reed

Daniel Reed

2025-12-06

3.0

From my side, I will keep this straightforward. At the moment I am around -USD 1,853.36 (8.00%). Not ideal, but management stayed controlled. Starting allocation was near USD 23,167; latest value came to about USD 21,313.64. My position has stayed live for approximately 139 days. Position sizing occasionally felt too aggressive for my profile. I would not recommend this for conservative users at the moment. I would still like faster reactions during sudden reversals, but the framework is solid. Weekly context helped me understand why pacing changed. The sequence occasionally felt reactive rather than fully planned. 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

Poland flag Poland

Experience

7 years (since 2019)

Primary Market Focus

Commodities and macro-sensitive pairs

License / Registry

TRD-FC7FD6

Professional Summary

Yuki manages a macro-assisted forex and indices trader program out of Warsaw, Poland, combining structured research with disciplined execution. The current framework was built through years of trade journaling and post-cycle review, not by chasing one good month. Setups are filtered through structure, momentum, and liquidity checks before any exposure is added. Trend participation is balanced with pullback discipline to avoid late, emotional entries.

Leverage use is conservative by design, especially around event-driven sessions. Drawdown handling is proactive, with reduced pace whenever market behavior becomes unstable. 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. When conditions are clean, exposure can increase step-by-step, but only inside predefined limits.

Education & Credentials

  • Education: Imperial College - Data-Driven Trading Module
  • Certification: Regulated KYC/AML Professional Training
  • Verified: Pending additional verification
  • Certified: Yes - strategy/capability badge active

Track Record Timeline

  • Started Trading: 2019
  • Career Origin: Prop trading desk
  • Lead Manager Since: 2024
  • Reporting Style: Weekly strategy report + monthly allocation review

Risk & Strategy Framework

Risk model: Process-first with conservative leverage rules

  • Partial-profit logic to protect realized gains
  • Execution quality tracking (slippage + timing)
  • Top-down regime filter before entry selection
  • Correlation checks to prevent hidden concentration

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Expert requirements

Min investment: USD 410.00 | Max investment: USD 23,532.00

Expert fee: USD 281.00 / monthly

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Risk Warning

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