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MM Forex
Terms of the arrangement: Institutional-Grade Trading. Adaptive Market Analysis. Strategic Risk Management. Capital Preservation. Long-Term Value Creation.

Independent investment management

Institutional-grade portfolio management, built on discipline.

MM Forex LTD manages portfolios across the foreign exchange, precious metals and digital asset markets — combining adaptive market analysis, disciplined execution and institutional risk management, with capital preservation as the first objective.

Opens on vantagemarkets.com in a new tab. The account is opened in your name, with the broker, using our introducing link — see how we are paid.

Myfxbook

Our record · Since June 2026

Live
Total gain
+57.69%

Since June 2026

Maximum drawdown
28.55%

Peak to trough

Profit factor
1.60

Gross win ÷ gross loss

Winning days
90%

37 of 41

MMForex · Vantage Markets · USD · MetaTrader 5

  • Track record
  • Trading privileges
  • Live update
See the live record on Myfxbook

Figures as at 10 August 2026 and updating live. Past results do not indicate future results.

Every figure is published on the account itself, drawdown included. Nothing here is a screenshot we control.

asset classes traded
3
performance fee, on profit only
30%
management fee
NIL
minimum investment
$5,000

01Our investment process

Research. Evaluate. Execute. Monitor.

Every portfolio decision follows a structured institutional investment process.

The full framework
  1. 01

    Adaptive Market Analysis

    Global macroeconomic developments, market structure, liquidity, volatility and price behaviour are continuously assessed to identify high-conviction investment opportunities.

  2. 02

    Risk Assessment

    Every position is evaluated against predefined portfolio risk parameters before capital is deployed.

  3. 03

    Institutional Execution

    Trades are executed with precision across highly liquid institutional markets, ensuring disciplined implementation of our investment strategy.

  4. 04

    Portfolio Oversight

    Portfolio exposures are continuously monitored and adjusted in response to changing market conditions while remaining aligned with our long-term investment objectives.

02Investment Universe

Highly liquid global markets, and only those.

We focus exclusively on highly liquid global financial markets where institutional execution and efficient pricing provide the strongest foundation for disciplined portfolio management.

The full universe

Foreign Exchange

06

Major and cross pairs

  • EUR/USD
  • GBP/USD
  • AUD/USD
  • AUD/CAD
  • USD/CAD
  • USD/JPY

Precious Metals

01

Dollar-denominated

  • Gold (XAU/USD)

Digital Assets

01

Institutional liquidity only

  • Bitcoin (BTC/USD)

03Risk management

Institutional risk management.

Risk is integrated at every stage of the investment process rather than applied to positions after the fact.

Capital allocation
Exposure is sized against predefined portfolio parameters, so no single position determines the outcome of the portfolio.
Dynamic exposure management
Positions are adjusted as liquidity, volatility and market structure change rather than held to a fixed view.
Continuous monitoring
Portfolio exposures are reviewed against risk parameters throughout the trading week, not only at settlement.

The objective is returns delivered with consistency and discipline, not the largest number in any single month.

Capital preservation first. Everything else follows.

An enquiry is not an application and it does not commit you to anything.