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InterGlobal Finance, S.A. is a seasoned financial advisory and trading firm working with a world class, leading market maker in Forex and CFD trading who is GCI Financial Ltd.. Through the trading platform we can provide trading opportunities and clearing for many significant tradable instruments in the international markets. We look to earn competitive rates of return with low downside risk by investing in liquid global currency markets, which is our specialty.
The forex markets offer exciting profit potential in volatile times when other markets are unstable and insecure. We can profit in all types of global economic conditions and cycles and can make gains when currencies go up or down. In forex we are not tied to the economic fortunes of any local economy or national fiscal policy. Risk can be managed very advantageously to minimize the downside while still maximizing the upside potential in any economic conditions.
While we offer programs to teach our clients how to trade in these markets themselves, it does require a level of discipline and commitment and most busy professionals or businesspeople simply don’t have the time available to be able to make the commitment to be a serious trader. This is why we offer professionally managed Forex trading accounts.
In a managed account, IGF does not handle or have access to clients' funds and all client account relationships are established directly with the investment brokerage / clearing house which is GCI Financial Ltd.. The client is the only one with access to the funds in the account and (s)he executes a limited power of attorney to have our traders execute trades and manage the account according to the agreed upon terms, strategies and risk management principles which are discussed in advance. This limited power of attorney can be withdrawn by the client at any time with simple notice to GCI Financial Ltd..
There are numerous trading methodologies which can be employed. The one described here is a discretionary trading methodology which provides a diverse mixture of short to medium term trend analysis and evaluation of market psychology. Research into changing economic and political fundamentals provide a backdrop to the trading decisions but our methods and analysis are striclty technical. Most importantly, the cornerstone of the trading philosophy is set in capital preservation and disciplined risk management rules.
We continue to achieve exceptional trading results due to a strict technical trading methodology which recognizes market patterns and gives us an edge in identifying those trends in the early stages before they fully develop.
In addition to having a high level of understanding of the tendencies and behaviour patterns here, our team has well placed contacts and clients in the highest level banking centers in Europe, Asia and the USA which help us to keep our finger on the pulse of market developments, fundamental economics and other factors which influence the markets.
Only a small portion of any given account is traded at any given time to manage the risk. This allows flexibility within each trade for varying market conditions without allowing any client account to have a potential downside in excess of the predetermined limit at any given time. This methodology takes the focus off losing trades and places the emphasis on profitable trades. Potential losses are always pre-determined and limited so maximizing returns through profitable position management is the focus. Once a trade becomes profitable many decisions can be made regarding exposure to loss or minimum guaranteed profit. Unprofitable trades are simply closed.
The traders seek out special market signals and action opportunities which provide a 1:3 risk reward ratio or better. This allows the trader to 'cherry pick' the best opportunities for minimum losses and maximum gains where the account can be profitable even if the trader only hits on 1 out of 3 trades! We cut losses short and let the profits ride on the trend.
Leverage is especially important in this trading methodology. On profitable trades, leverage can be increased quickly as the position moves in a positive manner. Aggressive management of market orders is key to this trading management discipline.
This methodology provides an excellent risk/reward ratio with good returns in good market conditions while providing capital preservation in rough market conditions. The track record of our traders illustrates this objective. Our strict adherence to pre-established trading management principles provides the edge as we are always prepared to take advantage of changing market conditions. Predicting the market is a tricky and dangerous business. We find our success in how we react to whatever the market wants to do !
We provide our clients with 24 hour trading services so that we can capitalize on market moves during any of the 3 primary daily sessions whether they occur during the Japanese, European or US sessions. Having a trading team working for you gives you the edge to capture profits whenever market conditions are ripe!
Funds in the account are highly liquid when not committed to the market and may be withdrawn by the client upon demand. Initially, we ask that the client commit (in principle) to this program for a minimum of 180 days. After that, funds may be requested by fax and are then forwarded by bank wire direct to your bank account usually within 2 days. They cannot be sent anywhere else, by law.
Take advantage of this exciting and potentially profitable market.
Set up your new account and we’ll help you with the process. Most of it can be done right online. Please contact us with your requirements and further questions.
(Note: This platform is not available to U.S. citizens. If you are a U.S. citizen contact us to discuss alternatives)
InterGlobal Finance , S.A.
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