We at MacroTrades
thrive to research and develop new and innovative financial products
and services that will best suit our clients. We look to provide
them with a decent return on their investments with the lowest risk
possible. We are proud to introduce a global diversified alternative
financial product that will yield decent returns with adjustable risk.
The premise of our MTGlobal
portfolio gives diversification in 3 major
commodity segments, The Forex market, The US equity index futures
market and precious metal futures markets.
The Forex market
segment is the backbone of the portfolios diversification and is the
major exposure of the portfolio. The Forex strategy is interest rate
differential based with momentum and market timing parameters..
Researchers have
proved over the years that the best way to increase your returns
while lowering your risks in the markets is to diversify, due to
this reason MTGlobal Portfolio was created and has 2 levels
of investment classes.
1.Class A Level
is for the Medium risk investors. $100,000 USD minimum
Targets
12-24
% Annually
Targets
1.0-2.0 % Monthly
Max.
Leverage: 2.0 to 1 or 50% margin
2.Class B Level is targeted to the More aggressive Investors.
$50,000 USD minimum
Targets
24-48
% Annually
Targets 2.0-4.0 % Monthly
Max.
Leverage: 4.0 to 1 or 25% margin
Our MTGlobal Portfolio is designed to suit two types
of investors. To view details about portfolios please inquire
for the disclosure documents to: mtglobal@macrotrades.com
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