Alternative Fund Portfolio

Alternative Fund

Monthly profit

Percentages

Operations

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Trading Strategy

The revolutionary new Alternative Fund strategy uses an innovative risk control and decision making algorithm. It incorporates neural network technology and multi-timeframe operations.

Thanks to the neural network our robot is able to study the trend in M15, H1, D1 and W1 simultaneously. Traders are always taken in favor of the trend (intermediate or long term) and exit the market by a sophisticated trailing stop.

Expected annual return:
Between 50% to 100%(*)

Expected annual maximal drawdown 
(Expected max.relative drawdown) : 25%(*)

Performance fee:
40% on profits on accounts based on the “High Water Mark” principle.

Minimum capital requierment:
500€

Maximum capital allowed:
1,000,000€ or higher under case by case study.

Safety limit (in floating equity loss ) to closure of all trades:
40%

Risk Profile very high

The above data are related to possible profits and/or losses and are purely informative and statistical in nature. the information is based on estimates. Taking into account what happened in the past applying the same trading strategy.

The data published in the above lines on the specifications on PAMM profit/loss or security limits refer to the master account that drives trades to PAMM through an internal copying process.

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