ANSTEADBROOK CAPITAL ℠
Scientific research is at the core of everything I do. I use robust research methods to investigate and develop my trading strategy. I apply my strategy within a mostly systematic framework, free from emotion and bias, to create a repeatable process that aims to achieve consistent, reliable returns.
Consistent non-correlation to traditional asset classes is the key to a protected portfolio and is the easiest way to achieve a greater likelihood of investment success over the long term. I try to beat the risk-free rate of return annually with consistent uncorrelated returns to traditional passive investments.
NICHE MARKET EXPOSURE.
Many managers manage strategies with greater exposure to the stock market, financial derivatives market, and large commodity markets. Those markets come with the potential for increased portfolio correlation during periods of financial turmoil. My niche trading approach provides greater exposure to the global foreign exchange spot market focusing on three most liquid pairs, EUR/USD, USD/JPY and GBP/USD, generating unique return streams to both traditional asset classes and other asset managers.
13 YEARS EXPERIENCE.
Thirteen years of trading means being familiar with trading characteristics in the global foreign exchange spot market, moments of dramatic price fluctuations and periods of low volatility and tail events. As a trend-following algorithmic manager, my trading reflects the knowledge I've gathered and the events I've experienced over a decade.
Monday to Friday: 24 hours a day, 5 a.m. GMT on Monday until 5 p.m. GMT on Friday.
Copyright © 2010-2019 All Rights Reserved