TradeWell Accelerate
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A pursuit of enhanced returns through intelligent precision
The Accelerate strategy is the most progressive element of the TradeWell portfolio, tailored for investors seeking higher growth through advanced data-driven insights and rigorous oversight. Built on more than forty low-correlation subsystems and guided by sophisticated AI, it allocates approximately ninety percent to major currencies and ten percent to gold. With continuous reallocation and a defined twenty percent stop-out level, Accelerate is designed to capture market opportunities while safeguarding capital, offering a refined approach to achieving superior risk-adjusted returns.
Performance Overview
Inception date
January 2022
Last Month
3.98%
12 Month ROI
27.85%
Total Return Cumulative
805.40%
Total Return Annualized
87.66%
Key Strategy Details
Liquidity
Daily
30% profit-sharing fee structure
Applied to profits under a high-water mark model.
1% deposit fee
This fee supports the onboarding process, dedicated investor assistance, and the secure infrastructure behind our platform.
Protection:
Returns are measured against a high-water mark to protect the investor.
Strategy overview
Who is this strategy for?
Investors seeking a sophisticated, high-growth trading solution
Investors comfortable with a more progressive approach that pursues enhanced returns
Investors who value a data-driven methodology supported by advanced analytics
Investors looking to participate in global market opportunities without managing positions themselves
What makes it unique?
Advanced technology: applies machine learning and powerful predictive models to analyse market behaviour and identify opportunities with precision
Strategic diversification: capital is allocated across more than forty independent subsystems, designed to minimise correlation and spread risk intelligently
Dynamic positioning: continuously adjusts to evolving market conditions to maintain an optimal balance between return potential and risk exposure
Focused asset allocation: 90 percent in major currencies, notably the euro, US dollar, British pound, Japanese yen, and Swiss franc, complemented by a strategic 10 percent allocation to gold to enhance diversification and capture additional market potential.
Human oversight: the entire system is monitored daily by our team to safeguard strategy quality and uphold strict risk standards.
Returns Statistics
Winning Months (%)
92.86%
Average Winning Month
5.97%
Max Drawdown (Monthly)
-4.36%
Advanced risk management:
Risk minimisation: advanced stress testing and scenario analysis help ensure portfolio stability
Mediation technique: controlled position additions to accelerate recovery and optimise the average entry price
20% stop-out: positions are automatically closed at a 20% stop-out to protect invested capital
Machine learning: identifies underperforming sub-systems in advance to support proactive risk management
Continuous market monitoring: human intervention during extreme volatility or market disruptions for enhanced risk control
Performance
These are returns including the performance fee