Proxima Titan Funds

Monitored: 3294 day(s) since 03-14-2010
Updated: 03/12/2012 18:22
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Proxima Titan Funds screenshot actual 14-03-10
Deposit min/max: $10 / $20.000
Profit: 1.5-2.7% daily!
Withdrawal: manual
Referral: 7% per each deposit
Our investment: $100
daily payout: $150
ROI: not in profit
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Proxima Titan Funds is a quantitative investment management firm, formed in August 2009 and follow scientific approach to invest in currency market. Our key objective is to deliver consistent, risk adjusted and absolute returns over the long term independent of independent of major equity or fixed income markets and non-correlated to any traditional or alternative investments.

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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.
Proxima Titan Funds payments history Proxima Titan Funds investment perfomance
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Below we quote some information from the site of their business principles and history.
In its core, we are a quantitative investment management firm and follow scientific approach to focus and actively invest in foreign exchange market. Participating in most liquid and transparent financial market allows us to be ideal alternative investment which could maintain flexibility irrespective of the state of US or global economy.

Our core competence, as a systematic manager is in highly disciplined, systematic, research-driven, time-tested and transparent approach in integrating the study of cycles, innovative technical forecasting, creation, testing, implementation of inherently diversified, sophisticated and robust models, market intelligence and rigorous market analysis that are consistent with state-of-art scientific findings in investment field have been cornerstone of our success in trading.

In a market where diversification is limited, we have controlled risk and enhanced returns by using diverse markets, such as emerging market currencies and high yielding currencies and diversification of investment styles. All sources of currency returns are inherently diversified and such an allocation has become increasingly important part of our added value. We exploit all available sources of return, not just the obvious ones.

We believe that investment markets are examples of Complex Adaptive Systems and our carefully designed, refined, and trading models can satisfy the needs of all investors in multiple market environments and outperform naïve trading strategies. We also believe in the value that can be added to models by human intelligence which can add value using limited tactical discretion by performing daily ∜reality checkâˆ� on the output of our trading models and achieving the best possible execution.

By controlled use of leverage, we seek to limit downside correlation with traditional asset classes while maintaining higher risk adjusted returns on the upside, which are both optimized and enhanced to a greater degree than is possible with more traditional investment vehicles.

Our high level proprietary risk management techniques which were developed by evolutionary and collaborative process of risk management are applied both quantitatively and qualitatively and include maintenance of strict risk control parameters are all times in order to maximize return per unit of risk while limiting downside risk.


Our dedication to maintaining a research dynamic, entrepreneurial, nimble and solid investment team, the core of which has experience in trading, tactical asset allocation, risk management and has made a substantial commitment to proprietary systems. Our modest size allows us greater strategic and operational efficiency.

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