Automated Options Trading Firm

Precision options trading, fully automated.

GaMa FinTech runs multiple systematic strategies that trade the markets around the clock — engineered for lower drawdowns and higher, more consistent profitability. No emotions. No hesitation. Just disciplined, rule-based execution.

Rule-based systems Risk-first design 24/7 monitoring
Low DrawdownRisk-capped positions
100% AutomatedZero manual clicks
Live · Auto-Trading
Aggregate Strategy P&L
+0%▲ this cycle
Delta-Neutral
+6.2%
Trend Momentum
+7.1%
Volatility Edge
+3.4%
Mean Reversion
+1.9%
8+
Systematic Strategies
100%
Rule-Based Automation
24/7
Market Monitoring
0
Emotional Decisions
Why GaMa FinTech

An edge built on discipline & automation

We remove human emotion from trading and replace it with tested, rule-based systems that prioritise capital protection while compounding returns.

Lower Drawdowns

Capital preservation comes first. Strict per-trade risk caps, dynamic position sizing and hard stop-loss logic keep drawdowns controlled through every market regime.

Higher Profitability

Multiple uncorrelated strategies compound edge over time, targeting strong, consistent risk-adjusted returns rather than one-off spikes.

Complete Automation

Every entry, adjustment and exit is executed by machine — no manual clicks, no hesitation, no emotion. Discipline is enforced by code, 24/7.

Multiple Strategies

Directional, non-directional and volatility-based systems run in parallel so performance never depends on a single market view.

Millisecond Execution

Low-latency, broker-integrated order routing ensures signals become fills instantly, minimising slippage on every leg.

Full Transparency

Real-time monitoring, detailed trade journaling and clear reporting mean you always know exactly how the systems are behaving.

Multiple Strategies

Diversified systems, one engine

Uncorrelated strategies run in parallel so performance never rests on a single market view. Here is a snapshot of the systems that power our portfolio.

Delta-Neutral Income

Non-Directional

Market-neutral option structures that harvest time decay and volatility premium while staying hedged against sharp directional moves.

  • Theta-positive premium capture
  • Continuous delta hedging
  • Defined-risk spreads

Trend Momentum

Directional

Systematic momentum models identify and ride sustained intraday and positional trends using options for asymmetric, capped-risk payoffs.

  • Multi-timeframe signals
  • Asymmetric risk-reward
  • Automated trailing exits

Volatility Edge

Volatility

Trades the spread between implied and realised volatility, expanding exposure when premiums are rich and contracting when risk is elevated.

  • IV vs RV modelling
  • Event-aware positioning
  • Adaptive exposure

Mean Reversion

Range

Statistically driven reversion system that fades over-extended moves within well-defined ranges with tight, mechanical risk controls.

  • Statistical entry bands
  • Fast mechanical stops
  • Range-regime filters
How It Works

From signal to fill, fully automated

Every trade flows through the same disciplined, machine-driven pipeline — around the clock.

01

Data & Signal

Live market data streams into our engine, where strategy models scan for high-probability setups in real time.

02

Risk Sizing

Each signal is filtered through risk rules that size the position to protect capital before any order is placed.

03

Auto Execution

Approved trades route directly to the broker with millisecond latency — fully automated, no manual input.

04

Manage & Exit

Open positions are hedged, adjusted and closed automatically as conditions evolve, then logged for review.

Risk-First Philosophy

Protecting capital is strategy number one

Consistent profitability starts with surviving the bad days. Our engine enforces strict, per-trade risk limits and automatically hedges and sizes every position before it goes live — so drawdowns stay shallow and recoveries stay quick.

  • Defined-risk structuresEvery position carries a known, capped maximum loss.
  • Dynamic position sizingExposure scales with volatility and account risk budget.
  • Automated stop & hedge logicLosses are cut and books are hedged without hesitation.
< 8%
Target max drawdown*
4+
Uncorrelated systems
100%
Rule-based entries
24/7
Automated oversight

*Illustrative design target. Not a guarantee of performance. Trading involves risk.

Ready to put automation to work?

Let's talk about how GaMa FinTech's systematic strategies can bring disciplined, risk-managed options trading to your capital.

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