Investment Strategies

Earn the experience of professionals

Market strategy Alpha

Торговая стратегия с историей в 2 года, которая основывается преимущественно на торговле валютной парой EUR/USD. Данная торговая стратегия строится на внутридневной торговле, что позволяет уменьшить роль статистических факторов при торговле. Для диверсификации рисков торговли, управляющий данной стратегией использует помимо валютной пары EUR/USD еще 6 валютных пар. При торговле, управляющий открывает сделки стандартными лотами для каждого инструмента пропорционально размеру своего баланса.

Additional information about strategy:

    Market strategy

    Choose strategy

    The profit for the period

    Week
    1 M.
    3 M.
    6 M.
    Year
    For all time

    Investment amount:

    Investment term:

    Your profit: $9000

    Advantages of the investment strategies offered by Optimus Markets

    • Simplicity. Strategies make the trader's path easier and help you make money faster.
    • Have made a deposit at least once;
    • Objectivity. Strategies are based on the statistical analysis and probability theory, and are tested in practice.
    • Knowledge. Opportunity to get the off-the-shelf experience of successful traders.
    • Planning. Strategies allow you to plan and distribute your investments.
    • Success. When choosing and applying correct investment strategies, you discover your personal source of income, which will let you enjoy your profit at minimal risks.

    Traders selection:

    The team of investment account managers at Optimus Markets consists of the strongest traders with enormous theoretical background and long-term practical experience in Forex trading.

    Why our traders are the best on the market:

    • Experience and decades of success.
    • Complex world-class selection system.
    • Our traders trade with the company's money, therefore we are interested in each of them to demonstrate high performance

    Our system of specialists selection is based on the International Banking Methodology of Portfolio Credit Risk Assessment, developed by the Basel Committee on Banking Supervision.