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International Portfolio

  • Management of one or more accounts on behalf of the Client in a foreign Investment Bank where IFG makes decisions to buy and sell instruments to make profits.  The goal is to generate Absolute Return.

  • We use leverage and derivative instruments to enhance returns and control risks. Risk Management is strict with maximums percentage amounts for positions and a stop loss in all of them to protect capital. Every day the client is informed of the amount of capital that is at risk.

  • The percentage invested can range from 0 to 100% according to the opportunities that are observed.

  • The range of instruments used ranges from currencies, commodities, stocks, ETFs, fixed income, structured notes, derivatives and others around the world from instruments traded on the NYSE to other exchanges, where it is identified that there may be a potential opportunity.

  • A daily and a monthly report is delivered to the client.

Stock Market Graph
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