Valencia

Asset Manage

Asset Class

TM Identifier

Investment Objective

This strategy focuses on low-volatility currency pairs such as USD/CHF and EUR/GBP, extending to select financial instruments under strict risk management. It seeks steady performance and capital preservation through disciplined trade execution and portfolio diversification.

Additional PAMM Conditions

25%

Manager’s fee:

20%

Max drawdown:

Performance is net of all fees. View full performance details.

General Information

Performance:

14% p.a. (estimated, not guaranteed)

Recommended holding period

1 Year

Minimum investment amount:

$10,000

Manager’s fee (Success Fee):

35% on profits

Maximum capital drawdown:

15%

With investment, your capital is at risk. Past performance is not necessarily indicative of future results.