Tradco Start
A structured systematic allocation across Gold and major Forex markets, designed for investors beginning their Tradco portfolio journey.
A structured view of Tradco Capital's operating model, investment programs, risk framework, reporting environment, investor workflow, and disclosures before capital is allocated.
Tradco Capital combines systematic Forex and Gold strategies with an investor-facing platform designed to make portfolio activity, account records, and reporting easier to evaluate.
The operating objective is to apply a repeatable portfolio process, manage risk before return targets, and provide investors with a clear view of their account status, portfolio activity, and historical records.
A compact view of assets under management, active investors, and international reach.
Aggregated capital across managed portfolio records
Active investor relationships across portfolio tiers
Investor coverage across international markets
Market conditions, liquidity, instrument behavior, and portfolio suitability are reviewed before allocation.
Gold and major Forex pairs are evaluated within the portfolio's defined market and risk framework.
Capital is allocated according to the selected portfolio's risk level, capital range, and target mix.
Exposure and portfolio activity are managed within predefined controls before return objectives are considered.
Strategy activity is recorded through the Tradco reporting environment and reflected in investor portfolio records.
Portfolio value, account activity, transactions, and strategy records remain visible through the investor portal.
Performance, transaction history, statements, notifications, and closure status are presented through structured reporting.
A structured systematic allocation across Gold and major Forex markets, designed for investors beginning their Tradco portfolio journey.
A diversified portfolio combining Gold and major Forex exposure with structured risk controls and enhanced investor support.
A premium multi-asset portfolio with dynamic exposure management, customised allocation parameters and dedicated investor support.
Portfolio performance, execution history, and risk metrics are synchronized through the Tradco Prime Execution Engine. All figures displayed on this page originate from the institutional reporting environment and are validated before publication.
Review PerformanceEach program has a defined capital range, allocation profile, risk level, and management style.
Funding, investment activation, portfolio closure, and withdrawals follow defined workflows rather than informal requests.
Transactions, portfolio changes, notifications, and reporting are retained as account records.
Returns are not guaranteed and capital can be lost. Investors should review the risk framework before allocating.
Current account value, available balance, active portfolio value, and portfolio status.
Principal, current return, portfolio value, status, and portfolio-specific reporting.
Deposits, withdrawals, investments, returns, and account adjustments in one history.
Recorded strategy activity linked to the portfolio reporting environment.
Historical account reporting designed to make prior activity accessible.
Portfolio closure is requested, reviewed, and reflected through recorded account status changes.
Before allocating capital, investors should review the applicable terms, privacy policy, and risk disclosure.
Use the official contact channel for questions about portfolio structure, reporting, funding, withdrawals, or account operation.
Contact Tradco Capital →Compare the portfolios, review performance reporting, read the disclosures, and make an informed decision based on the information available through Tradco.