TAWUOS stands for
Total Asset & Wealth Universal Optimisation Strategies
Our investment approach, combines rigorous fundamental macro research, financial analysis, and technical indicators with an uncompromising focus on risk management and price action techniques in order to express directional and relative value views with asymmetrical risk/reward characteristics for super performance trading.
We believe that effective risk management is fundamental to delivering investment returns and view risk as the potential loss of capital, rather than simply the volatility of returns.
TAWUOS established a Portfolio Strategies group to design and manage differentiated liquid investment strategies to serve Institutional Investors, Financial Advisers, and Individuals with different investment goals and risk appetites.
Get trained by TAWUOS Team, provide your employees and organisation a world class full fledged programmes for institutional level of investment and/or trading
TAWUOS provides training programmes and mentorship for banks, financial institutions, and professional investors, with the opportunity to offer a trading career with TAWUOS as well as providing trading capital.
Become TAWUOS Certified and bring TAWUOS to your organisation and employees.
TAWUOS Satellite Allocation framework covers multiple assets across different geographies, producing asset & risk diversification to harness the robustness of the fund/portfolio and escape market turbulence and crashes.
TAWUOS Country & Sector Rotation strategies ensure that the fund/portfolio is ever evolving to count for cyclical trends within different markets and industries/sectors resulting in the most dynamic return management schemes.
(The Spider) our Factor Based Risk Allocation System allocates funds within funds/portfolios to the most optimum asset classes , industries, and geographies.
Covering all the invest-able universe of financial instruments, we optimise country weights among portfolios in accordance with each country's capital weight within the global capital markets with an emphasis and focus on risk and liquidity issues.
Our institutional super high performance trading system
(THE OWL) is structured upon price action trading styles with our customized and developed technical indicators and analysis.
THE OWL trading system is one way or another deployed by banks and hedge funds.
(THE OWL) undergoes continuous monitoring and development, in addition to agile integration to automate it based on algorithms and cybernetics through machine learning pulling resources of big & alternative data blended with our quantitative touch to make it artificially intelligent and able to think for it's self, we have a lot to do to reach this level. Until now what makes (THE OWL) so incredible is that it's a manual system not automated.
Then (The Humming Bird) our Risk Management System manages the position sizing of trades, and the maximum number of opened positions allowed for minimum risk and draw down handling.
TAWUOS rates financial instruments and filters them to pick the best shariah compliant stocks, in addition to debt market instruments, currencies, commodities,metals, energy, ETFs and REITs.
Balances the fund/portfolio between Active & Passive Investment portions according to the life-span of each fund/portfolio.
Assesses the GC Score, ESG Score, G-Score, and F-Score of the most liquid stocks available worldwide.
Our Risk Factor Allocation System (The Spider) allocates risks within each portfolio/fund according to Country & Sector Rotation Strategies to adequately map the client's requirements and goals.
Then our trading system (THE OWL) jumps in to trigger trading signals and manage trades within each fund/portfolio with the deployment of our risk management technique (The Humming Bird) for maximum return/risk management and even counting for black swans.
Give Us a Call NOW +20 111 691 00 55
E-mail us to schedule a skype meeting: hi.tawuos@gmail.com
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