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|Minimum investment amount||Maximum investment amount||Manager's Reward||Minimum investment period (days)||Penalty for early withdrawal|
An active medium-term type of trading, based on classical exchange speculation. Elements of the root of the trading model: risk; statistics; probability; time. The strategy is programmed to manage large capital with a large leverage. Conservative risks. The risk on the transaction is not more than 1%. Good diversification of risks on trading instruments, which creates a balanced investment portfolio that reduces risks. The trading period for investors is recommended from 3 months. The system does not use "time bombs", such as martingale, averaging, overstaining or the absence of stop-loss.
The goal: to trade as long as possible with the closure of each quarter in a plus.
Before investing, determine the amount that you are willing to risk and invest only it. Do not wait for a drawdown for investment. The longer the investment period, the statistically higher the chances of profit.