Consider partnering with an investment professional whose experience and track record speak for itself. At Traders Allied, we believe every successful investment is empowered by strategies which have been put to tests and re-evaluated continuously. And in this ever changing complex world of investing and shifting markets, we must live and understand uncertainty.

More than ever, affluent investors need battle-filed tested strategies that can help them make investment decisions with more confidence. Our investment plans take a holistic money management to carefully understanding your objectives versus your financial situation. Our product offering is the result of our intellectual capital and trading expertise and a result of successful investment plans exceeding all expectations.

Conservative – Dynamic – Aggressive

This plan and strategies have been specifically designed for a maximum return over daily invested capital. It follows a very rigorous Tactical Trading Algorithm which targets Best Trading Opportunities, the ones which have scored the highest level of accuracy in our predictions model. It is also based on a consortium of successful trading strategies with the lowest drawdowns, hence minimizing risk while aiming for significant returns over a relatively short period of time.

Strategy Description Notes
Type Multi-Sectors FX Soft Grains Metals Indices Energy Stocks
Vertical Multi-Products Strategy-correlating products from all sectors
Time & Material Full time dedicated resources Money Manager Trader/Broker Analysts
Minimum Deposit 250.000 subject to Percentage Asset Allocation
Recommended Deposit 300.000 Fully compliant with Type/Vertical
Currency EUR USD GBP Main currency is USD
Capital Utilization 75-100% Subject to Markets & Trading Conditions
Maximum Target Drawdown 3.5% Subject to Trading Conditions
Take Profit Target 0.25-5% Daily performance target
Typical Risk/Ratio 3.3-5% Subject to Trading Conditions / Evaluated Daily
Targeted Annual Performance >125% Figures based on historical performance*
2014 Performance 283% See Trade Orbiter or Tradebook library

Trading Conditions

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Notes

Objective:
Capital growth and maximum return over investment.
Focus on Best Trading Opportunities (Perfect Inter-Markets Products Correlation).
Reach first target and lock-in profits.
Targeted Sectors:
Foreign Exchange, Metals, Energy, Softs, Agriculture and Indices.
Time & Material – Utilization:
Daily and weekly time frame trading.
Active positions management.
75%+ capital utilization.

Percentage Allocation & Management:
Dictated by our internal Market Research and Tactical Trading Desk.
Risk balanced across all targeted sectors whereas profit targets might differ from one to another.

Management & Reporting:
Discretionary management.
Allocation and results posted daily.
Clients may access their accounts and reports any time 24hrs/7 days.

Withdrawals

Zeus Description Notes
Withdrawal Amount up to 100% or according to agreement between investor and money manager
Type of Instructions Recurring or Notice Call 2 weeks for Notice Call
Periodicity Monthly or Quarterly Annual withdrawals are not permitted.
Lock-up Period NA Not Lock-up

Plan & Fees

Plan Min. Invest. (1) Performance Fee (2)
Zeus $250.000 12%
Apollo $150.000 15%
Poseidon $50.000 20%

1 Minimum financial requirement.
2 Advisory/management fees are applied and deducted monthly against investor equity.

The Apollo Plan follows the same path of asset allocation based on our inter-markets fundamental analysis algorithms where specific sectors are targeted. Trade allocation according to Best Trading Opportunities study plays a much bigger part in this plan. Essentially, this strategy is more conservative and requires deep understanding of markets correlations.

Strategy Description Notes
Type Multi-Sectors FX Soft Grains Metals Indices Energy Stocks
Vertical Multi-Products Strategy-correlating products from all sectors
Time & Material Full time dedicated resources Money Manager Trader/Broker Analysts
Minimum Deposit 150.000 subject to Percentage Asset Allocation
Recommended Deposit 200.000 Fully compliant with Type/Vertical
Currency EUR USD GBP Main currency is USD
Capital Utilization 75-90% Subject to Markets & Trading Conditions
Maximum Target Drawdown 3% Subject to Trading Conditions
Take Profit Target 0.25-5% Daily performance target
Typical Risk/Ratio 3.3-5% Subject to Trading Conditions / Evaluated Daily
Targeted Annual Performance >95% Figures based on historical performance*
2014 Performance 171% See Trade Orbiter or Tradebook library

Trading Conditions

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Notes

Objective:
Capital growth.
New allocations are subject to prior performance results.
Focus on Best Trading Opportunities (Perfect Inter-Markets Products Correlation).
Reach first target and lock-in profits.

Targeted Sectors:
Foreign Exchange, Metals, Energy, Softs, Agriculture and Indices.
Maximum coverage 50%: Manager decides composition of the portfolio. Example: portfolio may include allocations in Energy, Metals and Grains at most.
Portfolio Manager may review its composition after approval from the Investment Committee and Compliance Officer.

Time & Material – Utilization:
Daily and weekly time frame trading.
Active positions management.
75%+ capital utilization.

Percentage Allocation & Management:
Dictated by our internal Market Research and Tactical Trading Desk.
Overall portfolio risk-calculation applies.

Management & Reporting:
Discretionary management.
Allocation and results posted daily.
Clients may access their accounts and reports any time 24hrs/7 days.

Withdrawals

Apollo Description notes
Withdrawal Amount up to 100% or according to agreement between investor and money manager
Type of Instructions Recurring or Notice Call 2 weeks for Notice Call
Periodicity Monthly or Quarterly Annual withdrawals are not permitted.
Lock-up Period NA No Lock-up period

Plan & Fees

Plan Min. Invest. (1) Performance Fee (2)
Zeus $250.000 12%
Apollo $150.000 15%
Poseidon $50.000 20%

1 Minimum financial requirement.
2 Advisory/management fees are applied and deducted monthly against investor equity.

The Poseidon Investment Plan and strategies have been specifically developed for investors looking for a capital growth with limited exposure to adverse drawdowns. Fundamentally, trade allocations is subjected to Best Trading Opportunities checks and the selection of potentially best performing sector. This is the most conservative Investment Plan with a slower return over investment pace.

Strategy Description Notes
Type Single-Sector One of: FX Soft Grains Metals Indices Energy Stocks
Vertical Multi-Products Strategy-correlating products from all sectors
Time & Material Full time dedicated resources Money Manager Trader/Broker Analysts
Minimum Deposit 50.000 subject to Percentage Asset Allocation
Recommended Deposit 75.000 Fully compliant with Type/Vertical
Currency EUR USD GBP Main currency is USD
Capital Utilization 85-100% Subject to Markets & Trading Conditions
Maximum Target Drawdown 2.5% Subject to Trading Conditions
Take Profit Target 0.25-5% Daily performance target
Typical Risk/Ratio 3.3-5% Subject to Trading Conditions / Evaluated Daily
Targeted Annual Performance >75% Figures based on historical performance*
2014 Performance 76% See Trade Orbiter or Tradebook library

Trading Conditions

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Notes

Objective:
Conservative, Capital growth: follows formula of return maximization over capital conservation threshold.
New allocations are subject to prior performance results.
Focus on Best Trading Opportunities (Perfect Inter-Markets Products Correlation).
Reach first target and lock-in profits.

Targeted Sectors:
Foreign Exchange, Metals, Energy, Softs, Agriculture and Indices.
Maximum coverage: Single sector. Manager decides best performing or least oscillating sector. Products which demonstrate frequent sea-saw oscillations are dropped and maybe replaced by more stable ones.
Portfolio Manager may only swap sectors after approval from the Investment Committee and Compliance Officer.

Time & Material – Utilization:
Daily and weekly time frame trading.
Active positions management.
85%+ capital utilization.

Percentage Allocation & Management:
Best Trading Opportunities are prioritized. However, this also means minimum trading activity in the account. Best Trading Opportunities follow numerous stress tests and algorithmic verifications.
Dictated by our internal Market Research and Tactical Trading Desk.
Portfolio risk-adjusted return: value reviewed and may be revised on the daily time frame.

Management & Reporting:
Discretionary management.
Allocation and results posted daily.
Clients may access their accounts and reports any time 24hrs/7 days.

Withdrawals

Poseidon Description notes
Withdrawal Amount up to 100% or according to agreement between investor and money manager
Type of Instructions Recurring or Notice Call 2 weeks for Notice Call
Periodicity Monthly or Quarterly Annual withdrawals are not permitted.
Lock-up Period NA No lock-up period.

Plan & Fees

Plan Min. Invest. (1) Performance Fee (2)
Zeus $250.000 12%
Apollo $150.000 15%
Poseidon $50.000 20%

1 Minimum financial requirement.
2 Advisory/management fees are applied and deducted monthly against investor equity.