Our Approach
We Do
We Do
We do so in utilizing a combination of sub-strategies to allow us to benefit from both trend-based directional movements and range-bound, mean-reversion conditions across specific financial instruments.
We View
We View
We view both the world and its financial markets through a macro lens and drill down on the intricacies of the intraday behavior transpiring within these markets.
We Manage
We Manage
We manage risk by recognizing those that are uncompensated in exchange for those risks which provide real opportunity. We then layer on a view of risk independent of our process, data and investment team – in order to further challenge our own thinking.
Dedicated Risk Management & Capital Reservation
FFP applies an investment approach which is designed to achieve aggressive returns while building upon a foundation of rigorous risk management and capital preservation. Our firm minimizes open market exposure while maximizing the opportunity presented by volatile market conditions in the foreign currency market.
Discipline
Structure
Dedicated research & development
FFP Awarded for Investment Excellence
We work around the clock at FFP to provide solutions to your investment needs. We understand your need from your perspective and remain active until your issue is resolved. More importantly, we place the highest importance on privacy and confidentiality for our investors. We adhere to a strict privacy and confidentiality standard at FFP.
Risk Management: Our uncompromised focus on risk management is paramount to all we do. We analyze risk with a proprietary combination of internally developed tools that evaluate downside via a variety of metrics. Strict risk management is rooted within every step of the investment process. This reflects a combination of capital exposure limits, stop losses, and quantitative measures