We are an asset management team dedicated to safeguarding our clients’ wealth against inflation and devaluation. Our primary source of profit is through trading in global markets. Our trading strategy revolves around identifying inefficiencies in these markets, with a particular focus on a global macro approach. This entails trading Forex currency pairs, commodities, and global stock market indices, using both long and short positions to generate profits.
In making our trading decisions, we employ a combination of technical analysis, fundamental analysis, and sentiment analysis. Unlike many of our competitors who rely solely on technical analysis, we have a significant advantage due to our diversified approach.