Forex & CFD

MarketsYes considers itself a global leader in Forex and CFD trading and education. Our core philosophy is maintaining the highest quality of market education with superior execution yielding high rate of returns for our clients globally.

In the every changing world of global investment strategies the forex market is the largest financial market in the world, with over 4 Trillion dollars traded daily. CFDs, or Contracts for Difference, are agreements to buy or sell an underlying instrument for a specified period of time. CFDs have gained tremendous popularity among investors and institutions worldwide.

Markets Yes Investment Approach
Markets YesFOCUSES on the pursuit of attractive risk-adjusted returns for our investors. In our alternative investment strategies in foreign exchange trading and CFD investments, this means an emphasis on uncovering hard-to-find sources of return with modest long-term correlation to traditional asset classes; we look for unique opportunities that are less exposed to competitive pressures and market crises. In our benchmark-relative strategies, we seek to use quantitative techniques to generate returns that exceed standard benchmarks and that offer diversification from conventional style factors like value, growth, size, or momentum.
Risk management is an integral part of all our activities—both investment and non-investment. While we have a dedicated risk team, we consider risk management to be everyone’s job. It’s our belief that long-term investment success requires not only mitigation of day-to-day investment risk, but also careful preparation for extraordinary events and an unusual attention to detail in the areas of operations, compliance, and other key business functions. Having navigated a number of challenging market environments, we believe we’ve gained valuable insight into practices for attenuating risk.
Our investment paradigm favors teamwork among business units focused on different markets and investment approaches. Our teams work in close collaboration—not in competitive silos—to share trade ideas, manage risks, streamline processes, and explore new opportunities. We think this creates a number of research and portfolio management advantages and fosters a stimulating and rewarding work environment.

The firm is globally active in both public and private markets from NY to Hong Kong, including in:

  • Asset-Backed Securities
  • Benchmark-Relative equities
  • Convertible securities
  • Corporate Credit
  • Energy Trading
  • Equity arbitrage
  • Equity Options
  • Fixed Income
  • Futures and Currencies
  • Long/Short Equities
  • Macro Investing
  • Private Equity
  • Reinsurance
  • Venture Capital
Markets YES