
Structured Trading Strategies
Each strategy operates within defined parameters and is aligned with a distinct risk profile.
OUR STRATEGIES
Accruvis Capital provides access to a range of trading strategies, grouped into four distinct profiles. Each strategy reflects a different risk posture and trading behaviour within FX and CFD markets.
Risk Band: Lower to Moderate
Sentinel Strategy
The Sentinel Strategy is designed to prioritise capital protection and controlled exposure.
It operates with conservative position sizing, reduced leverage, and strict drawdown parameters, aiming to remain resilient during periods of elevated volatility and uncertain market conditions.
Minimum Investment: $10,000
Risk Band: Moderate
Axis Strategy
The Core Strategy seeks to balance opportunity and risk discipline by adjusting exposure in line with prevailing market conditions.
It is structured to participate consistently while maintaining defined risk boundaries intended to manage volatility and downside risk.
Minimum Investment: $25,000
Risk Band: Moderate to Higher
Momentum Strategy
The Momentum Strategy adopts a more dynamic trading posture, allowing for increased exposure when market conditions support directional opportunity.
Operating within predefined risk parameters, this strategy may experience greater variability and is suited to investors comfortable with higher short-term fluctuations.
Minimum Investment: $50,000
Risk Band: Higher
Vector Strategy
The Vector Strategy is designed to pursue high-conviction trading opportunities arising from short- to medium-term market movements.
It employs more active positioning and variable exposure, which may result in higher volatility and drawdowns, and is intended for investors with a higher risk tolerance.
Minimum Investment $100,000
25+
Years of Trading Experience
30+
Markets Traded
4
Clear Strategies
