About MM Forex
Institutional-grade portfolio management.
MM Forex is an independent investment management firm providing institutional-grade portfolio management across the foreign exchange, precious metals and digital asset markets.
01Our framework
Built on discipline. Driven by research.
Our investment framework combines adaptive market analysis, disciplined execution and institutional-grade risk management to identify high-conviction opportunities while maintaining a primary focus on capital preservation and long-term value creation.
Investment decisions are guided by a structured framework built upon adaptive market analysis, quantitative research and disciplined risk management. That methodology has been developed through years of experience navigating evolving global financial markets, allowing us to adapt responsibly to changing conditions while maintaining a consistent investment philosophy.
Every portfolio is managed with institutional discipline, precision, and an unwavering commitment to protecting investor capital.
MM Forex LTD is based in Bulgaria and works with investors there and across Europe. Accounts are opened with Vantage Markets in the investor’s own name, so whether we can act for you depends on the broker’s onboarding rules for your country of residence — which we check before you register anywhere.
Markets covered
- Foreign exchangeMajor and cross pairs
- Precious metalsGold
- Digital assetsBitcoin
02Our investment philosophy
Institutional thinking. Adaptive execution.
Markets evolve continuously. Successful portfolio management requires the ability to adapt while remaining disciplined.
- Adaptive market analysis
- Conditions change, and a framework that cannot change with them is a liability. Market structure, liquidity and volatility are reassessed continuously rather than assumed.
- Quantitative research
- Positions follow from research and market-structure analysis, not from conviction alone. What cannot be evidenced does not get capital.
- Disciplined risk management
- Risk parameters are set before capital is deployed and hold regardless of how attractive an opportunity appears.
Every investment decision is supported by research, market-structure analysis, and a disciplined portfolio management process designed to balance opportunity with risk.
03Our investment process
Research. Evaluate. Execute. Monitor.
Every portfolio decision follows a structured institutional investment process.
- 01
Adaptive Market Analysis
Global macroeconomic developments, market structure, liquidity, volatility and price behaviour are continuously assessed to identify high-conviction investment opportunities.
- 02
Risk Assessment
Every position is evaluated against predefined portfolio risk parameters before capital is deployed.
- 03
Institutional Execution
Trades are executed with precision across highly liquid institutional markets, ensuring disciplined implementation of our investment strategy.
- 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.
Capital preservation first. Everything else follows.
An enquiry is not an application and it does not commit you to anything.