"Our benchmark is the return expectation of our clients."

  • Generating a steady return from natural market fluctuations, independent of the overall market development
  • Benefit from falling and raising prices across different asset classes and currency pairs
  • Different risk classes – Different return targets
  • Strict short, medium and long term risk management
  • Trade execution within milliseconds
  • The strategies are designed to help clients to better plan and stay more independent in times of uncertainty and or crisis
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