Our mission is to help our clients maximize their investment returns. We achieve this by applying a systematic approach.
Markets are random but volatility is not. We apply a systematic approach to a diversified portfolio of currencies.
All investment decisions are made using short term volatility analysis hedged with statistical analysis.
Guilherme is a Certified European Financial Analyst (CEFA), with a degree in Economics and Investment Management, a Postgraduate degree in Financial Analysis and an Executive Degree in Algorithmic Trading from the University of Oxford. His experience as a Derivatives Trader and Portfolio Manager enabled him to become proficient in Financial Valuation, Financial Modelling, Portfolio Management and Trade Execution.