FRBS Strategy

FRBS operates across three currency pairs: AUDCAD, NZDCAD, and AUDNZD, providing diversification away from typical USD-driven or risk-asset movements.

The strategy is primarily mean-reversion based, adapting to market conditions through low volatility and high-volatility approaches, with a 2:3 risk-to-reward structure.

It targets an average annual return of approximately 30%, while maintaining disciplined risk management and controlled exposure.

01

Targets ~30% APY under standard risk settings.

02

Backtested acros 20 years of diverse market conditions.

03

Structured 3:2 reward-to-risk ratio for disciplined performance.

04

Low correlation to USD and global macro events.

05

Trading logic adapts dynamically to market volatility.

06

Trading Since: 2023

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Your Investment

Invested Amount
$
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Adjust your risk multiplier to see how different strategies affect your potential returns and drawdowns.

Forecast Results

Average ROI / Year

13000

Expected Drawdown / Year

1600

Our Fees Fully aligned with investor interests.

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Package

30% Performance Fee

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  • check Fees apply only if profits are generated
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  • check No Monthly Subscription Fees
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