PROFESSIONAL ACCOUNT MANAGEMENT

Account HandlingServices

Expert algorithmic trading management with MT4 & MT5 platforms across global markets. Professional fund management with institutional-grade execution.

Investment Plan Range

Flexible capital allocation options

₹1–50L
INR Range
$1K–60K
USD Range

Market Coverage

NSE - National Stock Exchange
BSE - Bombay Stock Exchange
MCX - Multi Commodity Exchange
NCDEX - National Commodity Exchange
Commodities Trading
Indices & Derivatives
Forex Markets

Expected Returns

30–500%

Annual Profit Potential

Based on algorithmic trading strategies

Profit & Loss Share

65%
Investor Share
35%
Fund Manager

Balanced profit sharing model ensuring aligned interests between investor and fund manager

Trading Strategy

25–50 Total Trades

Optimized frequency for maximum efficiency

RSI Strategy

Relative Strength Index analysis

CDMA & Pivot Points

Advanced technical indicators

Averaging & Hedging

Risk management techniques

Key Terms & Conditions

Withdrawal Trigger

Withdrawals available on every 10% increase in equity/profit

Profit sharing ratio: 65:35 maintained

Fund Control

Funds remain in your trading account under your complete control

Maximum security and transparency

Lock-in Period

3 Years commitment period for optimal strategy execution

Terms & conditions apply

Important Disclosure

Investment in securities market is subject to market risks. Past performance is not indicative of future returns. Please read all scheme related documents carefully before investing. The profit projections are based on historical data and algorithmic performance. Actual returns may vary. Both parties share profit and loss in the ratio of 65:35 (Investor:Fund Manager).

PREMIUM PORTFOLIO MANAGEMENT

Portfolio ManagementServices (PMS)

Elite portfolio management via MT4 & MT5 for high-net-worth investors seeking institutional-grade returns

Global Markets

NSE, BSE, MCX, NCDEX

Commodities, Indices, Forex

Comprehensive access to Indian and international markets

Expected Returns

30-500%

Annual Profit Potential

Based on premium algorithmic strategies

Profit Distribution

65%
Investor
35%
Fund Manager

Balanced profit & loss sharing model

Trading Strategy

Total Trades: 3-300

Flexible execution based on market dynamics

RSI, CDMA, Pivot Strategy

Multi-indicator technical analysis

Averaging & Hedging

Advanced risk mitigation

Withdrawal Policy & Terms

Withdrawal

On every 10% increase in equity/profit

Available daily or monthly

Fund Control

Funds in your trading account

Under investor control

Lock-in Period

3 Years commitment

Terms & conditions apply

Risk Disclosure

Investment in securities market is subject to market risks. Past performance is not indicative of future returns. The profit projections are based on historical data and algorithmic performance. Both parties share profit and loss in the ratio of 65:35 (Investor:Fund Manager). Please read all terms carefully before investing.

INNOVATIVE LOAN STRUCTURE

Arbitrage / Self LiquidationNon-Recourse Loan

Strategic loan structuring where investments generate returns to service loan obligations

CRITICAL RISK WARNING

  • Investment returns are NOT guaranteed
  • You remain FULLY LIABLE for loan amount
  • Poor performance may affect repayment ability
  • Compound risk: investment + debt
  • Consult legal & financial advisors before proceeding

Loan Structure Overview

Understanding the arbitrage mechanism

Loan Source

Borrower raises loan from Bank, NBFC, or other financial institutions

Investment Allocation

50% or more of loan amount invested as per fund manager's strategy