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Overview

The Gamma Delta Fund is an advanced, fully automated Algorithmic Fund based on rigorous Quantitative research designed to identify and exploit patterns in the most liquid financial assets. Using a scientific investment approach, Gamma Delta aims for consistent positive returns.

Fund Description

The Gamma Delta Fund uses an advanced Mathematical Model and approach to identify Systematic patterns in the Financial markets. The Fund has been designed on a strict investment thesis using unparalleled access to a wide range of publicly available data. The Fund takes into account market structure, and focuses on switching between, momentum and swing trading

The Gamma Delta Fund I
The Gamma Delta Fund II
OVERVIEW

The Gamma Delta Fund employs a multifaceted approach to trading, leveraging a variety of strategies to navigate the global FX market. Our aim is to capture distinct market opportunities and address inefficiencies effectively. Through a meticulously constructed portfolio of diverse FX trading strategies, we strategically spread risk across the G10 currencies, moderating potential losses and fostering steady, long-term growth.

Our innovative strategies produce results that stand apart from traditional asset classes, ensuring our returns aren't tied to the usual market ups and downs. We adhere to a strict investment philosophy, utilizing systematic, disciplined trade executions to minimize human error and maximize efficiency, speed, and scale.

The core objective of our Fund is to achieve consistent positive annual returns regardless of market conditions. By harnessing varied trading elements within our portfolio, we capitalize on multiple sources of profit, enhancing our risk diversification and managing overall financial exposure more effectively.

Our extensive market experience has taught us that relying on a single strategy limits growth and market adaptability over time. By integrating a range of strategic approaches, we not only avoid market saturation but also provide sustainable, risk-adjusted returns to our clients. This comprehensive strategy ensures the ongoing growth of investments and superior client satisfaction through all market phases.

Features

Features

Anchor 1
2%-8%
Average, based on past performance
30%
Based on past performance average (22-96%)
Risk Warning: Remember, financial trading is highly speculative & may lead to the loss of your funds. 
VT Markets clients can join here
8%
May deviate between 3%-20%
22%
Losing months are rare, but floating draw-downs can occur
Dukascopy Bank clients can join here
Performance

Performance

Disclaimer

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal will fluctuate so that an investor’s shares when redeemed may be worth more or less than the original cost. Extraordinary performance is attributable in part due to unusually favorable market conditions and may not be repeated or consistently achieved in the future. 

Investment Terms

USD 200

Min. Initial Investment

35%

Performance Fee

2% pa

Management Fee

0 Months

Lock-in Period

USD 50

Minimum Top-up

Multi-Asset

Asset Class

Investment Terms
Blog
How to inves

Once account is verified,  click the ‘Add an account’ Button and open a Managed Account.

See video on how to open an additional account here

You will be asked for a Managed account Token. Paste the following token.

 

 

16566241709721894

STEP 3: Copy and Paste the Token above

Fund the Managed Account with  Min USD 200.You will have successfully joined The Gamma Delta Fund and no further action is required

STEP 4: Fund the Managed Account

How to Invest- Step-by-Step

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