PAMM Manger 303
Intraday Breakout Fund
This price action strategy focuses on structured market flow analyses to identify high probability trading opportunities following market trends on G10 currencies and XAU/USD (gold)
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Exclusive Offering
Minimum Investment $100 With A 25% Performance Fee On Profits
Targeted Volatility
Specializes in trading the G10 currencies + Gold pairs by analyzing liquidity, Volatility and market trends. Maximizing profit opportunities.
Precision and Agility
Anticipates volatility spikes and proactively adjusts to safeguard against the unexpected. It can handle the maximum of range movements.
Dynamic Risk Mgmt
Utilizes ATR metrics to gauge market volatility, adjusting trading parameters in real time to minimize risk and enhance profitability.
Summary
Seeks to identify high-probability breakout opportunities within structured market flows.
Investment Approach
The strategy leverages price action and liquidity analysis to anticipate volatility spikes and market trend continuations. By focusing on intraday breakout movements, it dynamically adjusts to changing market conditions to capture optimal entry and exit points.
Risk & Volatility Management
A dynamic risk management framework is applied through real-time ATR (Average True Range) metrics, enabling the fund to adjust trading parameters proactively and minimize exposure during unexpected market swings. The fund maintains a risk score of 6 and is built to withstand a wide range of intraday volatility.
Performance Objective
With a minimum investment of $100 and a 25% performance fee on profits, the Intraday Breakout Fund aims to deliver 1–5% monthly returns. Its targeted volatility approach ensures precision and agility, making it suitable for investors seeking active, short-term exposure to major currency and gold markets.
The strategy leverages price action and liquidity analysis to anticipate volatility spikes and market trend continuations. By focusing on intraday breakout movements, it dynamically adjusts to changing market conditions to capture optimal entry and exit points.
Risk & Volatility Management
A dynamic risk management framework is applied through real-time ATR (Average True Range) metrics, enabling the fund to adjust trading parameters proactively and minimize exposure during unexpected market swings. The fund maintains a risk score of 6 and is built to withstand a wide range of intraday volatility.
Performance Objective
With a minimum investment of $100 and a 25% performance fee on profits, the Intraday Breakout Fund aims to deliver 1–5% monthly returns. Its targeted volatility approach ensures precision and agility, making it suitable for investors seeking active, short-term exposure to major currency and gold markets.
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Benefit from market fluctuations with a strategy crafted for precision, adaptability, and sustainable growth.
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