MAXIMA CONSERVATIVE FUND
DESCRIPTION
Global macro strategy based on dynamic factors allowing for optimal risk:reward setups under any market conditions may it be global economic expansion, recession or consolidation.
ASSET CLASSES
Major currencies and Stock Market Indices
TARGET RATE OF RETURN
+20% Yearly
TARGET RISK PROFILE
10% portfolio volatility (excluding ~15% drawdown)
LEVERAGE IN USE
100:1
MINIMUM DEPOSIT FROM INVESTOR
From $100k
LIQUIDITY
Entire portfolio can be redeemed before term period within 5 working days.
MANAGEMENT FEE
Success fee: 50% of profits generated.
STRATEGY
The system is a short-term week-to-week investment strategy focusing on allocating swing trades based on our global macro sentiment.
It allows you to achieve +2% monthly returns compounded month over month with very small risk profile due to weekly portfolio re-balancing.
Diversified and highly adaptive due to speculation in the currency markets.
TRANSPARENCY
You will be able to see your account online with real-time updates from any device.
>>Apply To Invest In Maxima
Any questions please email Marcos@maximainvestments.com