Our approach is low frequency algorithmic / systematic trading on futures markets.
Our aim is to provide our clients and partners an absolute return with clearly defined risk and no correlation to equity and bond products. That’s why we build and trade wide systematic portfolios or multi-portfolio programs to achieve good diversification and achieve high risk-adjusted profit.
There are many ways in which we are able to engineer synergy and cooperation with our partners. Trading and/or research outsourcing, external portfolio management, mentoring, product or service design and creation, and much more.
Get in touch and let’s talk about possible synergies.
What we understand as important:
- Clear and reasonable risk level
- Wide diversification among markets and systems
- Active portfolio management
- Low latency execution
- Win-Win cooperation
- Long-term relationship