Our Strategy

We aim to deliver long term growth by investing in a balanced, risk managed range of asset classes, across diversified sectors.

Our strategy is based on high frequency trading, investing in products that have been combined under one umbrella comprising of Commodities, Foreign Exchange, Equities and Fixed Income; trading in markets around the world within a closed fund.

Our programs are highly quantitative, employing bespoke algorithms to analyse incoming market data and implement proprietary trading strategies as appropriate.

Risk Management

We have adopted strict measures to ensure your capital investment is secure.

  • Each bespoke algorithm used for trading has been pre-configured for pre-trade analysis.
  • Our trading models are dynamic and have real time control.
  • Our volatility models are constantly been updated and we use the latest technology to control all our transactions.