Polyvalent Portfolio

Investment Strategy

A Breakout and swing strategy which is 100% automatic. Currently the portfolio is composed of 5 currency pairs which are almost all of the time in tune with the direction of the market trend. For this reason the strategies have a good probability to perform well, especially during periods of high market volatility.

The portfolio is very flexible and dynamic, at any moment changements can be done, with insertion of new currencies pairs or even any other kind of financial instruments. The strategy does not participate at present in martingale, grid or hedging, and all positions make use of a stop loss. In addition, all positions are closed on Fridays, thus avoiding unfavourable gaps in the fund.


    CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. Between 74-89% of retail investors lose money when trading CFDs. You should consider whether you understand how CFDs work, and whether you can afford to take the high risk of losing your money.

    Pelican is a strategy provider to London and Eastern LLP. Pelican AM is a trading name of London & Eastern LLP, whose office address is: c/o Pelican Exchange Ltd, London, SE1 8ND. Company number OC345870. Authorised and regulated by the Financial Conduct Authority (FCA) FRN: 534484 The investment services and products described are directed to “Professional” and “retail” clients only, as defined by the FCA. If you are in any doubt as to your client classification you should seek independent advice. The information provided should not be considered a recommendation or solicitation to purchase.

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