Our Product
MANAGED FOREX ACCOUNTS
KEY TAKEWAYS
RISK AND REWARD
An AI robot trading is HIGH-RISK, HIGH REWARD
MINIMUM DEPOSIT
We offer managed account services with a deposit as low as US$ 5,000
EXPERT ADVISOR
EXPERT ADVISOR AUTOMATED ROBOT
HOW FOREX EA WORKS?
HIGH FREQUENCY TRADING
What makes HFT unique is the high-frequency turnover of positions, ultra-low latency connections and powerful computers that enable a large number of orders to be transacted in fractions of a second – faster than any human can, even faster than an average computer.
Typically, trades with a fast execution speed will be more profitable than manual trade.
HOW HFT WORKS
DESIGNED AND OPTIMISED TO MAKE PROFITS IN MILISECOND
KEY TAKEAWAYS
- HFT is a complex algorithmic trading where large numbers of orders are executed within seconds.
- It adds liquidity to the market and eliminates small bid-ask spreads.
- HFT is criticized for allowing large companies to gain an advantage in trading.
- Another complaint are the liquidity produced by this type of trading is momentary—it disappears within seconds, making it impossible for traders to take advantage of it.
Observing patiently, reacting swiftly
INVESTMENT APPROACH
WE SHAPE THE SYSTEM AROUND
YOUR GOALS
We employ a measured, systematic process in approaching the markets. Each investment strategy that we create is a result of fundamental research and quantitative analysis, combined with the experience and insight of our traders.
Our team consists of passionate, driven people, whose ultimate objective is to ensure that your trust in us is justified, that your investment with us sees an appreciable rise.
The CCL TRADERS investment approach uses these two proven methods:
FUNDAMENTAL ANALYSIS
Considers factors such as interest rates, production, earnings and GDP
QUANTITATIVE ANALYSIS
Uses complex algorithm to discover price-movement patterns and correlations between pairs of trading instruments.
We also trade with the following purposes and constraints in mind:
To provide clients with access to FX, futures and commoditie
Total annualised net return in excess of the benchmark over any 3 year rolling period
Preserve capital with maximum drawdown of 20-30% of the capital
Invest in currency contracts to hedge (protect) against rate fluctuations
Turn on your financial fantasy
INVESTMENT STRATEGY
To make the best of every profit-generating opportunity, we constantly monitor the markets, adjusting our strategies as needed to ensure optimum results. Our traders work closely together, utilising their individual talents and experiences to bring different perspectives to a discussion. All ideas and innovations are explored to ensure that every challenge is met with the best solution.
We invest mainly in high-quality, short-term foreign exchange denominated in G10 currencies, money market instruments and commodities. G10 currencies are currencies in which investors have confidence and are typically currencies of economically and politically stable industrialised nations.
We have multiple proven record portfolios investing in precious metals, equities, indexes, options, stocks, etc. using complex mathematical algorithm that are managed by professional portfolio managers. With CCL Traders, investors bypass the large institutions and invest directly with highly experienced traders for above-market returns.
Brilliant plans executed with expertise
RISK MANAGEMENT
We make risk management a part of our strategy.
CCL TRADERS Risk Management Team
At CCL Traders, we create a dedicated governance group to oversee risk management across the firm.
To strengthen our approach, we focus on liquid markets, proprietary risk models and a diversified funding structure.
Furthermore, we make use of the expertise and experience of our traders, direct bank links and technology at our disposal to minimise the risk in daily trading decisions and positions.
Furthermore, we make use of the expertise and experience of our traders, direct bank links and technology at our disposal to minimise the risk in daily trading decisions and positions.
STATE OF THE ART RISK CONTROL TOOL
INSTANT UPDATE OF POSITIONS
ALWAYS-ON AWARENESS OF RISK VS. MARKET PRICE
VERY FAST FILLS (BELOW 100MS ON AVERAGE) AND LOW LATENCY (BELOW 50MS ON AVERAGE)
SMALL SLIPPAGES ON STOPS/ENTRY ORDERS
WEEKLY STATISTICS ON LIQUIDITY PROVIDERS’ EXECUTION TIMES, SLIPPAGE AND MARKET SHARE
GUARANTEED MARKET ACCESS AND ORDER EXECUTION IN CASE OF POWER OUTAGE
TIGHT INTERBANK SPREADS
We highly recommend that investors diversify their funds into 2 or more of our portfolios to minimize the risk and maximize the gains. Once investors choose to target a level of risk based on your goals, time horizon, and tolerance for volatility, diversification may provide the potential to improve returns for that level of risk.