CONNECTION
INSTITUTIONALTRADING INTELLIGENCE
Compose specialist algorithms, define allocation and risk boundaries, and execute through an eligible MT5 account. Your capital remains with your broker.
ENVIRONMENT
RISK BOUNDARIES
HELD BY UDIM

From market data
to managed execution.
Connect an eligible MT5 account, choose specialist algorithms, define portfolio-level risk boundaries and activate approved models under ongoing supervision. This diagram explains the intended workflow; it is not an account-status display.
ALGORITHM SELECTION
Choose the algorithms that fit your portfolio.
Review each model's intended market, strategy role and risk profile before adding it to your allocation. Availability remains subject to product, broker and jurisdictional review.RISK DEFINITION
Set the boundaries before activation.
Define allocation, exposure and drawdown limits for the portfolio. These controls shape automated execution but do not remove trading risk.ACTIVATION
Activate models and supervise their operation.
Monitor model activity and account conditions, and retain the ability to pause individual algorithms when needed.Different models.
Distinct portfolio roles.
Udim portfolios combine specialist algorithms with distinct market behaviours and portfolio roles. The cards below are illustrative model examples; they are not investment recommendations or verified performance evidence.

Dragonfly
This example represents a directional model designed to identify persistent movement across liquid market contexts.
- STYLE
- ADAPTIVE TREND
VIEW MODEL ROLE
Intended as a directional component. “Intraday / Swing” means the model may consider market information spanning shorter sessions through multi-session movement.
Swordfish
This example represents a diversifying model designed to identify statistically stretched relationships and structured normalisation conditions.
- STYLE
- STATISTICAL MEAN
VIEW MODEL ROLE
Intended as a diversifying component whose behavior may differ from directional models. It does not imply that price will always return to a prior level.
Hummingbird
This example represents a specialist model designed around volatility, liquidity and macro-sensitive conditions in gold markets.
- STYLE
- REGIME-AWARE
VIEW MODEL ROLE
Intended as a market specialist. “Regime-aware” means its rules may respond differently to predefined market conditions; it does not mean the model predicts every market regime.
Canopus
This example represents a cross-market model designed to evaluate alignment among eligible instruments and predefined market contexts.
- STYLE
- RELATIVE MOMENTUM
VIEW MODEL ROLE
Intended as a cross-market component. Its rules may compare predefined signals across eligible instruments; it does not imply universal market coverage or prediction.
Sirius
This example represents a tactical model designed to identify predefined volatility expansion and price-confirmation conditions.
- STYLE
- VOLATILITY BREAK
VIEW MODEL ROLE
Intended as a tactical component. Activation depends on defined market and risk conditions and does not imply that every breakout will persist.
Vega
This example represents a risk-aware model designed to moderate participation as predefined volatility and exposure conditions change.
- STYLE
- EXPOSURE CONTROL
VIEW MODEL ROLE
Intended as a portfolio-balancing component. Its rules may scale or withhold participation under defined conditions; they do not eliminate trading risk.
Five governed stages.
One connected path.
Market context is interpreted, tested against model and portfolio rules, constrained by the user’s risk mandate, then routed to an eligible MT5 environment. This is the intended product architecture, not a live account-status display.
-
01 / INPUT
Market Data Ingestion
Price, volatility, liquidity and market-session context enter the decision path.
DATA -
02 / INTELLIGENCE
Model Intelligence
Specialist algorithms assess defined market conditions independently.
AI LOGIC -
03 / VALIDATION
Signal Validation
Confidence, timing and portfolio-conflict filters test each candidate instruction.
FILTER -
04 / GOVERNANCE
Risk Governance
Position sizing, exposure caps and drawdown rules constrain approved activity.
CONTROL -
05 / EXECUTION
MT5 Execution
Approved instructions are routed to the connected eligible account.
MT5
Traded
Instruments
Five market groups can sit within one configurable MT5 portfolio when supported by the selected algorithms and connected broker. Instrument availability varies by model, broker, account type and jurisdiction.

CFDs
ELIGIBLE CONTRACT MARKETSContract-for-difference instruments made available through supported MT5 broker environments.
Commodities
METALS · ENERGY · AGRICULTUREGold, silver, energy and other eligible commodity symbols offered by the connected broker.
Forex
MAJORS · MINORS · CROSSESCurrency markets across eligible broker pairs, permissions and supported trading sessions.
Crypto
BROKER-ENABLED CONTRACTSCrypto-linked CFDs where they are supported by the broker, account and client jurisdiction.
Stock Indices
GLOBAL EQUITY BENCHMARKSMajor equity-index contracts available within eligible connected MT5 environments.
AI-Guided Market Intelligence
Before Automated Execution
Portfolio controls make allocation, exposure and loss boundaries explicit before execution. Any performance-style display remains clearly separated from verified evidence.
The conservative illustrative profile emphasizes protection and diversification over exposure and variability. This is not a recommendation.
This control demonstrates interface behavior only. It does not recommend a risk profile.
The selected six-month illustrative series rises unevenly from a lower starting point to a higher endpoint. It is not actual, live or audited data.
What happens
before activation.
When private-beta intake opens, each request will be reviewed for capacity, jurisdiction and MT5 compatibility before terms, connection or model activation can follow.
- 01
Submit an access request
Provide the account-environment and jurisdiction information needed for an eligibility review when online intake opens.
- 02
Individual review
When intake is available, Udim will assess capacity, jurisdiction and the intended MT5 environment.
- 03
Controlled onboarding
Any broker connection or model activation follows agreed terms, technical checks and an explicit risk mandate.
- 04
Pay ONLY when you profit
A performance fee becomes payable only when your account records a qualifying profit, as defined in your agreed terms.
The essential questions.
Clear answers about custody, risk, model language, evidence and private-beta access.
Product and control
What is Udim?
Udim is being developed as a configurable algorithmic trading technology layer for eligible MT5 accounts. It is not a bank, broker or managed fund.
Does Udim hold my money?
No. The product is designed to be non-custodial, meaning client capital remains in the client’s own broker account.
What is a risk mandate?
A mandate is the set of allocation, exposure and drawdown boundaries selected before automated execution is enabled. It does not remove trading risk.
Access and evidence
Are the figures on this page real results?
No. The charts, values and allocations are illustrative interface data. They are not actual, audited or guaranteed investment results.
Which MT5 brokers are supported?
No broker list is confirmed on this website. Compatibility depends on the broker’s MT5 environment, permissions, instruments and execution conditions.
Does requesting access guarantee acceptance?
No. Private-beta capacity, jurisdiction, broker compatibility and final terms must be reviewed. No fixed response time is promised during the beta period.
Private-beta intake is not yet open.
Udim plans to review self-directed investors who have, or are willing to open, an eligible MT5 broker account and understand that leveraged trading can result in substantial loss.
A request is reviewed for:
- Private-beta capacity
- Jurisdictional availability
- MT5 broker compatibility
- Readiness to define and accept risk boundaries
Initial reviewCapacity, jurisdiction and intended account environment.
Terms and compatibilityFinal pricing, broker support, permissions and disclosures.
Controlled onboardingRisk mandate and connection steps before activation.
No fixed response time or acceptance is promised during private beta.
Access status
Udim is preparing the eligibility, privacy and operational controls required for private-beta onboarding. This website does not currently accept or store access requests.
Before online collection begins, applicants will receive the final privacy notice, eligibility information and service terms.
