What we do
We search for pricing opportunities that deliver trading profits for us and our clients in the world’s largest and most liquid market – foreign exchange currency trading (FOREX). We have developed a proprietary method and system, which blends Technical and Price Action Analysis, enabling us to deliver top quintile ROI performance with no capital losses in client’s accounts.
Our working day is spent at analyzing price charts, and running processes that help us identify support and resistance levels that we rely on in order to set parameters that our software uses to generate trading signals that result in opening positions. Our software is set up to monitor those positions, and capture profits at the most advantageous times to ensure a satisfactory risk/reward ratio.
Our method doesn’t rely on emotions from the investing process, and focuses on statistics, probabilities, and recognition of pricing patterns rather than gut feelings. Quantitative approach allows us to measure effectiveness of decision-making and select the parameter ranges for our models that produce the best financial outcome.
Some of our strategies are Momentum-based, which means that we enter the market to trade from level to level, smoothly riding the trend. There have been several academic surveys showing that applying this principle to all kinds of speculative markets is profitable over time and gives a winning trading “edge”.