SAMA Investment Group provides automated capital deployment through PAMM accounts and managed account structures for qualified investors in Markham, Toronto, and Dubai. The firm operates 17 Automated Trading Machines across 24 instruments including gold, equity indices, and forex while investors retain full custody of capital through regulated financial institutions. Verified performance is available via MyFXBook and consultations are available at info@sama.partners and www.sama.partners.
SAMA Investment Group
About

We Build Machines That Generate Revenue.

Not predictions. Not opinions. Not gut feelings. Just disciplined, verified, automated systems operating across global markets.

FoundedToronto, Canada
OperationsNorth America · Middle East · Global
Our Story

Built for Discipline, Not Discretion

SAMA Investment Group builds and operates portfolios of Automated Trading Machines — fully systematic investment systems that execute across global markets without human intervention.

The Gap We Fill

Most investors are stuck between two extremes: institutional automation infrastructure that requires $10M+ minimums and is closed to outsiders, or retail platforms driven by emotion and inconsistency. SAMA provides the middle ground — institutional-quality automated systems, accessible to qualified investors.

How We Operate

Our portfolio of 17 Automated Trading Machines executes across 24 instruments spanning gold, equity indices, and major forex pairs. Every decision — entries, exits, position sizing, risk adjustments — is handled algorithmically. No human discretion. No manual override. The systems operate 24/5 with complete autonomy.

Your Capital, Your Control

Investors retain full custody of their funds in their own accounts at regulated financial institutions. SAMA's systems connect to your account and execute on your behalf — you can deposit and withdraw at any time. Full transparency through independent third-party verification via MyFXBook and Quant Analyzer.

Our Approach

Systematic by Design

Every layer of our architecture is engineered for consistency, risk containment, and operational discipline. From strategy validation to live execution, the system governs itself.

Strategy Validation

No strategy touches live capital without passing historical backtesting across multiple decades, Monte Carlo simulations with thousands of randomized scenarios, out-of-sample walk-forward analysis, and live forward testing. If performance degrades at any stage — the strategy is rejected.

Dual-Layer Architecture

The SAMA Intelligence Layer handles strategy selection, parameter optimization, and capital allocation. The ATM Execution Layer handles all trade execution, position management, and risk feedback — operating with complete autonomy and zero human intervention.

Risk Management

Risk is embedded at every architectural layer — not applied as an afterthought. Position-level stops, strategy-level drawdown thresholds, and portfolio-level exposure caps operate independently. If one layer fails, higher layers contain the damage.

Continuous Monitoring

Drawdowns are tracked across four dimensions: depth, duration, recovery speed, and historical comparability. When any metric exceeds backtested norms, automated protocols reduce position sizing, suspend underperforming systems, or trigger review procedures.

Our Philosophy

Built Different

Most trading systems optimize for maximum returns. We optimize for survival. Every architecture decision, every risk parameter, every validation protocol exists to ensure one thing: the portfolio compounds for decades, not months.

Risk Before Return

Return maximization is explicitly secondary to risk control. We prioritize capital survivability, drawdown containment, and recovery viability. The portfolio must survive adverse regimes — that's non-negotiable.

Multi-Layered Validation

No strategy touches live capital without passing historical backtesting across multiple decades, Monte Carlo simulations with thousands of randomized scenarios, out-of-sample walk-forward analysis, and live forward testing. If it degrades at any stage — it's rejected.

No Dangerous Mechanics

Zero martingale. Zero grid trading. Zero uncontrolled averaging. Position sizing stays constant relative to equity. We explicitly reject the leverage accumulation patterns that destroy accounts.

Third-Party Transparency

Every trade timestamped at the broker level. Every result verified through independent platforms — Quant Analyzer, MyFXBook. No selective reporting. No simulation artifacts. What you see is what actually executed.

Ecosystem

Our Partnerships

Vantage MarketsAvaTradeProsperity Algo SolutionsYorks United

Vantage Markets

Execution Partner

Institutional-grade execution infrastructure with deep liquidity across forex, indices, and commodities.

Visit Vantage Markets

AvaTrade

Brokerage Partner

Globally regulated multi-asset broker providing secure market access across 9 jurisdictions.

Visit AvaTrade

Prosperity Algo Solutions

Technology Partner

Expert advisor development, algorithm engineering, and systematic strategy research.

Visit Prosperity Algo Solutions

Yorks United

Advisory Partner

Strategic business development, capital advisory, and institutional relationship management.

Visit Yorks United