Strategy

The investment strategy is decided by the fund. Detailed information about the performance and the current status of managed assets are accessible only to a limited number of investors. If you are already our client and you need full access to detailed information about the managed assets etc., contact us. Actual used investment tools can vary throughout the duration of the investment according to their ability to generate desired return that had been negotiated with the clients.

In order to protect our know-how we do not provide any detailed information about our strategy on our website, except the brief strategy descriptions shown below.

Global Market

Global trading of whole scale of investment tools, as stocks, CFD, commodities, Forex, indices, options, futures, derivatives, ETF & ETC, obligations.

Global trading of whole scale of investment tools, as stocks, CFD, commodities, Forex, indices, options, futures, derivatives, ETF & ETC, obligations. The trading is done actively. The target is to achieve a revenue for the clients with a premise to surpass regular market development compared to the standard product offerings.

The premise is realized by combining the stock markets and by splitting into a wide portfolio of investment instruments. Thanks to the mutual combination of these, the portfolio is wide and stable. To reach the revenue, investment tools are chosen based on the markets actual development.

The strategy is based on a complex and balanced selection of instruments with expected movement of their values. It uses technical analysis, trading volumes information and fundamental analysis. As the underlying assets, stocks listed on the main American and European stock markets are chosen. Occasionally other world stock markets are chosen too.

Dynamic Stock

Active trading of stocks and CFDs. Target is to reach revenue for the clients with a premise to surpass regular market development, compared to the standard product offerings.

Active trading of stocks and CFDs. Target is to reach revenue for the clients with a premise to surpass regular market development, compared to the standard product offerings.

The strategy is based on a complex and balanced selection of stocks with expected movement of their values. It uses technical analysis, traded volumes information and fundamental analysis. As the underlying assets, stocks listed on the main American and European stock markets are chosen.