Trade with Confidence

Helping you trade a bright future!

About Us

Trading Into The Future


Since 2014, we have contracted our team of professional trading services to private and corporate clients creating customized trading strategies and programs to suit your portfolio short and  long term financial goals.  See our Performance Page to view some of our strategies. 

Over 90% of traders fail and even less make any sustainable profits for a long term future. We make it simple for you to contract our trading services of the 1% of highly successful traders and strategies. Contract our trading services to execute our skills and strategies on your behalf. Have questions about our strategies and returns? Contact your local representative? One of our credentialed professionals would be glad to help. 

A Proven Approach


We start by clarifying our fee structure and explaining the different ways our trading services can help. Then we analyze your goals and compare them to your current portfolio. Then we recommend a trading strategy designed to meet your risk tolerance.

Why Us?


Our team is comprised of people with different kinds of finance and trading experience, world class algorithmic coders, strategists and analysts. Our trading strategies are aimed for aggressive but safe returns. We do not view benchmarks as the relevant standard but create our own levels of returns far superseding others. Capital preservation and aggressive growth strategies. You can count on unbiased recommendations and impartial guidance.

Trading Strategies


Strategy 1: FX Correlation Low Risk

The world is correlated and when there are abnormalities within the market, we capture opportunities and await the abnormal deviation. Extensive list of FX currency pairs are utilised and traded against each other capturing profits. 

The low risk strategy can maintain ongoining monthly profit levels of 7-12% with a drawdown of 10-15% at any time. The strategy is designed to profit in both bull and bear markets regardless of whats happening in the world.

Strategy is suitable for all clients wanting safe returns and peace of mind. Self Managed Superannuation Funds, private and corporate clients.


Strategy 2: FX Correlation Medium Risk

Strategy 2 applies exactly the same as strategy 1 except it uses a higher risk allocation per trade. In turn this also equates in higher returns and higher drawdowns. Usual monthly returns are 20-30% per month with drawdown of 20-30%. If you can handle a safe strategy with larger drawdowns then this is a great risk profile. Drawdown is also capped at 40% before we close all trades and retain capital. To date we have not yet had to take this action.



Under Development

With the success of the correlated strategy we are undergoing rigorous testing on applying the strategy to a range of other markets. Commodities, indicies and stocks. In a time where everything seems to be going down, our traders are profiting in both bull and bear markets. Stay tuned for new contracting services within other financial instruments and markets.


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