Clasificación
#15
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Real , AUD
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IC Markets , 1:30 ,MetaTrader 5,
$40.00/Month
A high-conviction multi-asset portfolio strategy focused on consistent risk-adjusted returns and long-term capital growth.
The strategy targets 20%+ annual returns while maintaining disciplined risk management, with maximum drawdowns capped at approximately -15% annually and an ongoing objective to control drawdowns within -10% where possible.
Portfolio construction is driven through a multi-asset lens, combining both quantitative analysis and qualitative macro assessment to identify asymmetric opportunities across global markets. Capital preservation remains the highest priority.
This is not a high-frequency or daily trading program. Positions are taken selectively and only when strong conviction and favourable risk/reward conditions are present.