FxSafely

Monitored: 4134 day(s) since 01-22-2013
Updated: 03/14/2013 08:17
Site features:
NOT PAYING
HYIP fxsafely screenshot home page
FxSafely screenshot actual 22-01-13
Deposit min/max: $10 / $50.000
Profit: 1-2.5% daily
Withdrawal: within 24 hours
Referral: 5%
Monitored Plan:
Our investment: $100
Daily payout: $100 calendar
ROI: not in profit
Investors rate: rating point rating point rating point rating point rating point
Overall rating: rating point rating point rating point rating point rating point

Fx Safely Asset Management is an alternative investment group which specializes in Forex Markets, our main objective is to achieve positive investment returns by creating and implementing trading strategies that are designed to potentially succeed in all market environments, whether trending or consolidating. The Fx Safely Asset Management program uses several exclusive proprietary trading systems that were developed in-house by our development team. The aim of the Fx Safely Asset Management program is to provide an investment alternative in the spot foreign exchange markets with minimal correlation to traditional investments [stocks/bonds].


Support page: http://fxsafely.com/contact-us/
E-mail: [email protected]
Phone:  phone 
The analytics given below gives visual image of the correlation ratio between deposits to interest payouts and profit earned, as well as the dates and amounts of dividends payments.
FxSafely payments history FxSafely investment perfomance
Below we quote some information from the site of their business principles and history.
OVERVIEW:

All of our trading systems are guided primarily by technical analysis. Combined, they were programmed to monitor the activity of well over 30 global currency pairs. Of those pairs observed, we actively trade in an average of 1 to 5 currency pairs each day. Our two most actively traded pairs are the EUR/USD, followed by the GBP/USD. Our average trade length is just short of 3 hours and we aim not to have open trades into a weekend, to help ensure and avoid volatility spikes/gaps at the market’s open on Sundays.

Our systems main objective is to observe the market’s price action and predict recognized chart patterns. Several short term trend, counter-trend and scalping systems that we employ use a mix of standard technical indicators, including moving averages, relative strength index and other exclusive proprietary indicators [developed internally] to help define present market conditions and generate trade signals, in pursuit of delightful risk-adjusted returns.

The key to successful use of these various trading systems rests in the manner they are interconnected and utilized in their blend. All open trades under the trading program are constantly monitored by our development team. FxSafely AM also monitors liquidity, price availability and execution to ensure that they are competitive and in line with the market. These are important variables to keep in consideration, given that the market is Over The Counter (cash market) and we’re not trading over a central exchange where all brokers provide the exact same price.

Vital to the FxSafely AM trading style, are low correlation between the different strategies employed and use of high liquidity currencies for efficient order execution. The actual number of strategies being used may vary and may change materially over time as determined by Fx Safely AM in their sole discretion.

Risk | Money Management
The fundamental objective of the Fx Safely Asset Management program is preservation of our member`s capital, achieved through application of methodical technical analysis and very exact risk management protocols. FxSafely’s edge in forex trading is recognized through our disciplined short term systematic approach toward the currency markets. Our target is to achieve and attain consistent capital appreciation, while attaining a low level of volatility.

Exact risk management protocols are the means to successful trading outcomes over the long term. Every trade signal of FxSafely`s models must take into account their respective risk to reward parameters and overall impact to yield.

The initial risk per trade for our strategy ranges from 0.1 – 2% and a pre-determined maximum drawdown limit is set at 5% of the program’s daily beginning equity (variables can be adjusted for single allocations >$1m). These pre-determined drawdown limits are imposed, so any position(s) that realizes the pre-determined drawdown limit will be issued a close order immediately.

In summary, the program’s multiple systems utilize / risk small amounts of trading capital per trade, and concurrently adhere to automated drawdown limits, continuously evaluating markets, and exercising efficient risk management processes, which hopefully leads to consistent, reliable and profitable results, whilst also preserving capital.