Funds Management Program

Capital Reservation

Dedicated Risk Management

Infratrader applies an investment approach which is designed to achieve aggressive returns while building upon a foundation of rigorous risk management and capital preservation. Our firm minimizes open market exposure while maximizing the opportunity presented by volatile market conditions in the foreign currency market.

displnine

Discipline

structure

Structure

research

Dedicated research & development

OUR APPROACH

Our Goal

We do so in utilizing a combination of sub-strategies to allow us to benefit from both trend-based directional movements and range-bound, mean-reversion conditions across specific financial instruments.

We View

We view both the world and its financial markets through a macro lens and drill down on the intricacies of the intraday behavior transpiring within these
markets.

We Manage

We manage risk by recognizing those that are uncompensated in exchange for those risks which provide real opportunity. We then layer on a view of risk independent of our process, data and investment team – in order to further challenge our own thinking.

Solutions Catered to

Your Investment Appetite

We work around the clock at Infratrader to provide solutions to your investment needs. We understand your need from your perspective and remain active until your issue is resolved. More importantly, we place the highest importance on privacy and confidentiality for our investors. We adhere to a strict privacy and confidentiality standard at Infratrader .

Simple

Suitable For Seasoned Investors or Newcomers. Open your account with third-party regulated broker. Trading begins immediately. Profit Today.

Fair

Choose from a wide variety of investment packages. Select a trading strategy with a risk reward ratio that is suitable for you.

Verified

The World’s Only Managed Commodities Program Verified By MyFxBook, FX Stat, FXBlue, & Fully Audited by Independent CPAs.

Risk Management: Our uncompromised focus on risk management is paramount to all we do. We analyze risk with a proprietary combination of internally developed tools that evaluate downside via a variety of metrics. Strict risk management is rooted within every step of the investment process. This reflects a combination of capital exposure limits, stop losses, and quantitative measures

STRATEGY #1

Infratrader Amplify

Fully Automated Scalping

Infratrader Amplify is a fully automated scalping system based on price action with no lagging indicators which has a highly developed trading algorithm programmed that has passed through extensive testing over many years. It is being used as a multi-asset portfolio strategy, with G10 currencies, XAU/USD and XAG/USD.

Infratrader Amplify advantages including dynamic profit fixing algorithm and strict money management system. It is using hidden tight stop order to maintain low drawdown. It uses high leverage and profits from the very tight interbank spreads within G10 due to the high volume traded.

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November 2017

Portfolio inception date

graph-latest

+258.48%

Total gross growth since inception

increasing

93.39%

Compounded annual growth rate (gross)

drease

13.34%

Maximum historic drawdown

STRATEGY #2

Infratrader Zenith

Daily Trend Correction Strategy

Infratrader Zenith is an expert advisor system that prioritise daily trend correction trading strategy on G10 currencies. The strategy is based on statistical daily correction. Towards the end of a trading day most of the time there is a correction of the day’s movement. The basic explanation of the traders’ approach is as follows: an examination of statistical daily fluctuation behaviour based upon several parameters. When these different set of parameters co-exist on a statistically high level of success, a trade signal is initiated.

This system is constantly being refined and tweaked in order to exploit market conditions in real-time. Infratrader Zenith team has been proven successful in technical analysis for advisory functions and developing money management systems to optimise the risk and return ratio.

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JAN 2018

Portfolio inception date

graph-latest

+153.21%

Total gross growth since inception

increasing

89.3%

Compounded annual growth rate (gross)

drease

13.15%

Maximum historic drawdown

STRATEGY #3

Infratrader Moderno

Algorithmic Cryptotrading Strategy

Infratrader Moderno is an advanced algorithmic trading system based on price action rules, which embodies the analysis of basic price movement as a methodology for financial speculation. It is a system with a great diversification of operations and different strategies working in 15 pairs and 4 timeframes including many major cryptocurrencies. This approach has proven increases the chances of sustained growth and reduces exposure to a single pair or individual operations.

The system has realistic management of internal adjustments that demonstrates the strength of the algorithms and reinforces the possibilities of maintaining the good performance in the future movements. With more than 3 years of live trading since 2017, it shows great adaptability to any type of structural behavior in the market, in trend or sideways. The system bases its advantage on intraday volatility, which often occurs independently of market bias. The risk of the portfolio is well manageable via risk management system.

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OCT 2017

Portfolio inception date

graph-latest

+295.20%

Total gross growth since inception

increasing

97.76%

Compounded annual growth rate (gross)

drease

14.15%

Maximum historic drawdown

STRATEGY #4

Infratrader Celestial

Infratrader Celestial

Infratrader Celestial is a manumatic and automated trading system based on short term scalping in GOLD and SILVER during Asia market, catching price action during the quieter part of each trading day, as prices typically move within a channel, on the 15 minutes timeframe. It take advantage on high leverage and generate profits from tight interbank spreads.

Technical indicators and mathematical formula are used to measure price volatility for additional confirmation. System also avoids unnecessary trading when spreads are abnormally high. This portfolio strategy is efficiently and opportunistically designed to maximize risk/reward.

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Nov 2016

Portfolio inception date

graph-latest

+263.75%

Total gross growth since inception

increasing

77.29%

Compounded annual growth rate (gross)

drease

19.81%

Maximum historic drawdown