Our Expertise

A disciplined forex strategy

Strategy

The strategy ensures consistent long-term returns by using a variety of forex instruments. This approach combines fundamental and technical analysis, along with derivatives tactics. It covers a wide range of investments, from short-term trading strategies within a single day to longer-term positions that may stretch up to 1 or 2 years, based on a careful long-term view.

Several instruments are applied, including intraday spot FX, forwards, futures, options, and swaps - both on exchanges and over-the-counter. Eligible Exchange Traded Commodities (ETCs) under UCITS guidelines and money market instruments are eventually also be employed. The strategy targets a broad range of currency pairs, including major, minor, and exotic ones, to capitalise on diverse market opportunities. At its core, the strategy involves an opportunistic approach. It evaluates economic and political momentum, considers expectations about future economic growth and inflation risks, and gauges the current preference for different currencies.

Main Statistics

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Track Record

Nearly three decades in currency markets

Throughout his career, our CEO and Forex Portfolio Manager has overseen complex portfolios and proprietary positions. His latest strategy of hedged currencies yielded outstanding returns is demonstrated with his track record. Today, he is dedicated in supporting clients' needs, monitoring their portfolios, minimising risks, while optimising their results.

Maurizio Dehò

Maurizio Dehò

CEO & Forex Portfolio Manager

Our Portfolio Manager boasts an impressive history of success in crafting and executing investment strategies, overseeing liquidity, and staying ahead of financial market trends. With nearly three decades of experience in currency trading, Mr. Dehò's profound expertise in forex markets, risk management, and adherence to regulatory standards is unparalleled.

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