For Investors

Volatility Trading Strategy

The proprietary volatility trading strategy operates an algorithm running on strict risk/reward metrics. The algorithm is defined by several factors and designed to capture the optimum market exposure, while ensuring the necessary exit of positions as market dynamics evolve. The strategy is designed to benefit from volatility in currency markets, and shows a very robust return profile across a wide range of market situations.

The behaviour of the algorithm is fully automated, with no active human intervention. This ensures that the strategy is protected from intermittent human intervention, which conflicts with the statistically proven model that has been developed.

Target returns are greater than 10% per annum, whilst keeping the drawdown level at an absolute minimum:
* Beta testing until Feb 2018.

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