Strategy5000.com combines low-latency execution, tight pricing and a clean cyberpunk experience. Trade multiple markets with professional tools, fund protection and risk controls.
*Maximum leverage and instrument availability depend on client type, product and applicable regulation. Trading CFDs carries a high level of risk and may not be suitable for everyone.
Client accounts kept separate from corporate funds* with periodic reconciliation for tighter operational control.
AML/KYC controls, end-to-end encryption, 2FA and real-time anti-fraud monitoring.
Access to liquidity pools* for competitive spreads, lower slippage and better price formation.
The form is built straight into the landing page so it keeps the premium finish of the design, with clear validation, a secure submission to the affiliate API and a smooth experience on mobile and desktop.
Fill in your details and our system will forward the application to the partner automatically.
We have received your application. You will shortly get an email with the next steps, and our team may contact you to complete activation.
Trade from a single panel: major and minor currency pairs, indices, commodities, stocks and crypto*.
EUR/USD, GBP/USD, USD/JPY, crosses and exotics* with stable execution.
Access leading shares and ETFs* via CFD or spot, depending on availability.
Gold (XAU), silver (XAG), energy and agricultural products* with competitive spreads.
BTC, ETH and the major crypto CFD pairs* with margin management.
A powerful WebTrader, mobile apps and an API* for professional integration.
A clean, fast interface with advanced charts, customisable watchlists, alerts and professional order types (market/limit/stop/stop-limit)*.
Trading, deposits and withdrawals, alerts and risk management from your phone, with biometrics and 2FA.
Encryption in transit, controlled sessions, device lists and login notifications.
Live chat, tickets and a help centre with guides, policies and legal documentation.
Endpoints for quotes, orders and account management. Built for integrations and automation (subject to approval).
Redundant servers, 24/7 monitoring and scheduled maintenance with transparent communication.
A clear structure: choose all-in spreads or raw spreads with a commission.
Execution policy, slippage, commissions and costs published in the legal portal.
Tools: stop loss, take profit, exposure limits and margin alerts.
Mechanisms to limit losses beyond your balance on certain products and conditions.
CFDs are complex and carry a high risk of losing money rapidly due to leverage.
This block is set up to communicate security professionally. Publish only verifiable information that your compliance team has approved.
Segregated accounts* at tier-one banking institutions, with periodic audit and reconciliation.
TLS 1.3, encryption at rest, 2FA, device lists, anomaly detection and DDoS protection.
Identity verification, transaction monitoring and internal policies to prevent fraud and money laundering.
Straight answers on costs, leverage, risk and protection.
It means that, under normal market conditions and on certain pairs (EUR/USD, for example), the spread can start at 0.1 pips on Raw accounts. During volatility or thin liquidity, the spread can widen.
Maximum leverage depends on the client category (retail or professional), the instrument and the applicable regulation. This site shows “up to 1:400” as a marketing message and must be adjusted to the real limits that apply to you.
Usually through segregated accounts, security controls, reconciliation processes and, where applicable, membership of a compensation or insurance scheme. See the legal section for the broker’s official information.
CFDs are complex, leveraged products. You can lose money rapidly. Make sure you understand how they work, assess your risk tolerance and consider independent advice.