The Analyst Behind the Platform

Chris Rory —
Built to Perform.

Over a decade of active trading, continuous refinement, and an unwavering commitment to client results. This is the story behind TradeWins VIP.

Chris Rory — Lead Analyst, TradeWins VIP
Chris Rory
Lead Analyst & Founder, TradeWins VIP
Professional Financial Analyst — 12+ Years Active
Multi-market expertise: Forex, Equities, Crypto, Mining
Proprietary risk management system — developed & refined over a decade
Exclusive access to institutional crypto mining operations
$2.4B+ in assets under active management
94% long-term client retention rate

Background

Chris Rory entered the financial markets in 2012 with a singular focus: to develop a trading methodology that could consistently generate superior risk-adjusted returns across market cycles. What began as a disciplined study of currency markets evolved into a comprehensive, multi-asset approach that now spans forex, global equities, digital assets, and exclusive crypto mining opportunities.

Over more than a decade of active management, Chris has refined a proprietary analysis and risk management system that sits at the core of everything TradeWins VIP does. This system — built through thousands of hours of research, back-testing, and live-market refinement — is not a black box. It is a structured, repeatable process for identifying high-probability opportunities while rigorously controlling downside exposure.

Chris manages a deliberately small and selective roster of high-net-worth clients. This is not a volume business. It is a precision practice — one where every client relationship receives the attention, transparency, and strategic focus that extraordinary results demand.

The Proprietary System

At the heart of Chris's approach is a multi-factor analysis framework that evaluates opportunities across technical, fundamental, and macro dimensions simultaneously. No single signal drives a decision. Instead, the system requires confluence — multiple independent factors aligning before capital is committed.

Risk management is not an afterthought in this system — it is the architecture. Every position is sized according to a defined risk envelope, with pre-determined exit levels that protect capital before profit is ever considered. This discipline is what has driven the platform's 94% long-term client retention rate.

The system is continuously updated. Markets change, correlations shift, and new opportunities emerge. Chris dedicates significant time each week to research, model refinement, and staying ahead of the macro forces that drive all asset classes.

Markets Covered

Forex
Major & exotic pairs
Equities
Global stock markets
Crypto
Digital asset trading
Mining
Exclusive operations
Career Timeline

A Decade of
Refinement.

2012

Foundation in Forex

Chris began his professional trading career focusing exclusively on major and exotic currency pairs, developing the early frameworks of his risk management methodology.

2015

Expansion into Equities

After consistently outperforming benchmarks in forex, Chris expanded into global equity markets — applying the same disciplined, data-driven approach to stock selection and portfolio construction.

2018

Digital Asset Pioneer

Recognizing the structural opportunity in digital assets early, Chris built a rigorous crypto trading framework before institutional adoption — positioning clients ahead of the curve.

2020

Proprietary System Formalized

Years of refinement culminated in the formal documentation of Chris's proprietary risk management and analysis system — a multi-factor model now used across all four asset classes.

2022

Exclusive Mining Access

Through cultivated relationships in the digital infrastructure space, Chris secured exclusive access to institutional-scale crypto mining operations for a select group of qualified clients.

2024

TradeWins VIP Launched

TradeWins VIP was established to formalize Chris's private client practice — bringing together his full suite of capabilities under one exclusive, invitation-only platform.

Investment Philosophy

The Principles That
Drive Results.

Six core principles underpin every decision made within the TradeWins VIP framework.

Capital Preservation First

Every position begins with a defined risk envelope. Protecting client capital is not a secondary consideration — it is the primary constraint around which all opportunity is evaluated.

High-Conviction, Concentrated Positions

Chris does not believe in over-diversification. The portfolio is built around a small number of deeply researched, high-conviction opportunities — each with asymmetric upside potential.

Multi-Market Correlation Awareness

Operating across forex, equities, crypto, and mining creates natural hedging opportunities. Chris actively manages cross-market correlations to reduce portfolio volatility.

Continuous Research & Adaptation

Markets evolve. Chris's system is not static — it is continuously refined through ongoing research, back-testing, and real-market observation across all asset classes.

Asymmetric Risk/Reward

Every trade must offer a risk/reward ratio that justifies entry. Chris targets opportunities where potential gains substantially outweigh defined downside — never the reverse.

Global Macro Awareness

Macro conditions drive all markets. Chris maintains a top-down view of global economic forces — using macro signals to time entries, exits, and asset class rotation.

Ready to Work With
Chris Directly?

TradeWins VIP accepts a limited number of new clients each quarter. Submit your access request to begin the qualification process.