How do we earn?
Our launch preceded more than three years of work of company founders on strategies that are changing the order of risk level at the market for trader and private investor.
The result is a successful working method, based on:
- thorough development of investment plans, which are suitable for every investor
- ensuring a profit for all investor in mode 24/365 at the expense of super profitable trading week days and other areas of business
- high proficiency of every trader
- asset diversification
- risk hedging
- continues monitoring and analysis of macroeconomic measures of all trade sessions
- program check of “human factor”
- the opportunity to become a VIP-client with the special service conditions (a personal manager, a separate telephone line, higher interest rates)
We offer investors a choice among investment plans with different starting level, as well as investment period. Development of investment plans was conducted with consideration of necessity of payments and charges, even by the most negative market move for the company at the current period. When choosing the maximum investment plan, You will receive up to 30% of income on a monthly basis with guarantee of Your asset recovery by 100%!
The minimum requirement for our new traders is successful trading at Forex market not less than 5 years.
During the first three months of work, the beginning trader should work only under the constant control of management. During this period, an employee, who wishes to get a permanent position in our company, should demonstrate strong financial performance and results of successful use of personal strategies.
As a result of effective distribution of assets in management, shares of each deposit of any private investor, are forwarded to the work of different company traders.
This enables to minimize downside risk. Even though 1 or 2 traders close current trading sessions without a profit, the income from work of other 10-11 traders will fully compensate for losses!
Monitoring and analysis of macroeconomic measures
Object of the analysis is the most important macroeconomic measures of global economics, its elementary sectors (banking, real, public, financial), as well as sectors of foreign commerce, area of money turnover, capital and financial foreign economic relations.
Professionals, working in team of CCU «Trust-Premier», thoroughly monitor all areas of the economic process. By the slightest change of the situation, our employees can offer to the shareholders the most interesting and (!) the most profitable program of asset allocation.
Program check of “human factor”
It is notorious that to keep in mind the necessary amount of numbers, trends and values is beyond the power of even the most experienced trader.
We have at our disposal our own software, which enables to avoid mistakes and miscalculations due to notorious «human factor».