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FTSE100, 
NASDAQ-100, Gold, Silver, Crude oil, Currencies

Our Portfolio

AUKTN focuses on short-term trading opportunities in assets that are liquidated in an investment time horizon of between 1 - 25 working days. Our investment capabilities range from quantitative to discretionary trading strategies in cross-assets in both high and low volatile environments.

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The strategies and systems are scalable in the financial instruments which include the most liquid markets in commodities, indexes, and currencies.

Operational Transparency

Our principal commitments are transparency and investor trust. All investments and transactions are audited and regulated by a third party DARWINEX. Our investors have 24/7 online direct access to our progress and the liberty to take charge of their investments.

Risk Contol

The key to AUKTN's success is risk control. Our checks and balance are solely designed to protect AUKTN and our investors. All our portfolios have maximum target risk control (VaR 95% monthly)* of 6.5%

Attractive returns

We have produced and aim to have consistent profit in the short/long term. Our investors are guaranteed 80% of profits made with their funds invested with us.

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Current investments available to the public

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Other investments to be available 2021 - 23

* The Value at Risk (VaR), is a way of measuring the risk of a portfolio. It is impossible to have a 100% probability of success when making trade predictions. Therefore, this metric, with a 95% confidence interval (20 months), assumes that the probability that the strategy loses -6.5% in a month is around 5%

- Uche Ejike, Senior Risk Manager (SRM)
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The Holy Grail of risk management is how to take the lowest risk and get the highest returns out of it.”
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