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FXR Fund

The FXR Fund is an investment portfolio specialized in the EUR/USD pair. It employs an advanced scalping strategy operated by algorithms that leverage strategic hedging and averaging techniques. The strategy identifies high-probability opportunities during the Asian and early European sessions, focusing on disciplined market conditions and deliberately avoiding periods of high volatility.

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Thanks to the high frequency of trades and an average trade duration of just 3 hours and 45 minutes, the fund offers high liquidity and flexibility, allowing investors to enter and exit positions with ease.

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The strategy boasts a proven track record of over a year and has been extensively backtested over multiple years to ensure robust performance across varying market conditions.

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Minimum Investment

€2.500

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​Net Asset Value (NAV)

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The chart displays the NAV of the FXR Fund. The NAV starts at 1000, which corresponds to the launch of this portfolio. The results shown are net returns, meaning all fees have already been deducted.​

Performance Overall

​​The results shown are net, with all fees already deducted.

Monthly
Average

3.59%

Lowest
Month

1.63%

Highest
Month

6.25%

Maximum Drawdown

5.07%

Year
JAN
FEB
MAR
APR
MAY
JUN
JUL
AUG
SEP
OCT
NOV
DEC
YTD (%)
2025
5.83
4.41
3.05
4.01
18.43
2024
1.63
2.14
2.17
3.54
4.64
6.25
2.56
4.71
2.84
2.52
0.00
38.23

Monthly Return Frequency

Above you will find a table that shows the frequency of various percentage returns achieved each month. To provide a transparent view of our portfolios performance, these figures are also presented on a net basis.

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You can see that a return of 2% was achieved five times, indicating that there were five months where the result fell between 2% and 3%. Similarly, you can observe that the 4% return was achieved four times, meaning that four months closed with results between 4% and 5%.

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In summary, there have been no months with negative returns, and the average net profit is 3.59% per month.

Fund Information

  • ​Minimum investment €2.500.

  • The FXR Fund offers a specialized, actively managed scalping strategy on the EUR/USD pair, focused on strategic hedging and averaging during the disciplined market conditions of the Asian and early European sessions.

  • High liquidity through frequent trades and an average trade duration of 3 hours and 45 minutes.

  • Flexible entry and exit — investors can join or leave daily without any costs.

  • Institutional-grade environment provided by our exclusive partner, Scandinavian Capital Markets.

  • Regulated broker — Scandinavian Capital Markets SCM AB is authorized and supervised by the Swedish Financial Supervisory Authority (Finansinspektionen), registration number 80438.

  • Client funds held securely in segregated accounts at tier-1 European banks: Banco Santander, LHV Bank, and ClearBank.

  • Deposits and withdrawals are processed via Banco Santander and LHV Bank Estonia.

  • Negative balance protection and active risk management through multiple stop-out level safeguards.

  • No initial fees or withdrawal fees — we only charge a monthly performance fee of 30% based on a high-water mark (no reset) and a annual management fee of 2%.

  • Track performance live through our secure client portal.

  • Dedicated support team available seven days a week.

  • Weekly updates with detailed performance reports, strategy developments, and market news via email and our app.

Verified Live Track Record

Above you will find the verified live track record of the same strategies used for our FXR Fund. These strategies have been running for over a year. Since this is a personal account, the returns shown are higher due to a higher risk tolerance compared to the risk levels applied for our clients. Despite operating with lower risk, we achieved a 38% net return in 2024 for our clients, outperforming most other investment options.

​A boutique fintech company redefining investments with precision and care.​

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Regulation:

Forex Republic exclusively facilitates the brokerage of all asset management mandates for its clients through BaFin- and FSC-licensed asset managers. This ensures full compliance with European and Mauritian regulations while providing clients with a secure and regulated investment environment.

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Our partner broker, Scandinavian Capital Markets SCM AB, is authorized and regulated by the Swedish Financial Supervisory Authority (Finansinspektionen). They provide a robust trading infrastructure and maintain custody of client funds, ensuring transparency and security.

Custody of Funds:

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​Our partner broker, Scandinavian Capital Markets, securely holds client funds in segregated accounts and manages them through tier-1 European banks, including Santander, LHV Bank, and ClearBank.

 

Disclaimer:

Investing involves risks, including the possible loss of capital. Always ensure you understand the risks and seek independent financial advice if necessary.​

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