Ronnie Adi Mehta, is the Sole Proprietor and Trading Principal of Risk Reward Management. He is also an ex-banker with 16 years of distinguished service to his credit with an International Bank of repute (The Bank of Tokyo-Mitsubishi, Ltd) out of which the last nine years were as Head of Treasury. During his tenure with the Bank, he received extensive training (treasury) at their overseas centres in Singapore, London and Frankfurt which contributed to his good fortune and recognition as the head of one of the most active and profitable trading desks in India during the period 1985-1993. His views on the Foreign Exchange Markets which were updated on the Banks home page on the global Reuters network won considerable recognition and following for the accuracy of his forecasts. Additionally, he had also been imparting such knowledge (technical analysis of Markets) on an honorary basis to some of the leading Banks/Institutions in India, to name a few like Bankers Training College (Reserve Bank of India), State Bank of India (India's largest public sector bank), Sir Pochkhanawalla's Bankers Training College (Central Bank of India & Dena Bank).

The culmination of his illustrious banking career led to the formation of a forex trading advisory company in 1996 namely "Risk Reward Management", which was granted the approval to provide such consultancy services to NRI's and foreigners by the Reserve Bank of India, Exchange Control Dept, Central Office, Mumbai. As a result of such permission the company has been providing forex advisory services to a selective number of clients who were NRI's, Foreigners and Overseas Investment Banking Institutions of repute.

Each day he continues to hone his skills and add value to the company not only by his name, reputation and experience of more than 28 years in the international markets, but also with a focus on the importance of customer service whilst maintaining the highest standards of professionalism and ethics. By using a disciplined trading approach with a strong emphasis on risk and money management, he has been offering valuable investment advice to a varied clientele using technical analysis and a systematic, rigorous and disciplined trading plan to enable his customers maximize the potential of the world's largest and most liquid markets.

His currently offered program is a proprietary trading strategy that primarily utilizes effective technical methods of analysis to name a few like The Elliott wave, Gann, Japanese Candlesticks, Fibonacci ratios to arrive at a confluence of time, price and pattern. The program could be characterized as a system that identifies and incorporates trend and counter trend strategies to trade the Intermediate and Primary degree waves of highly liquid market instruments.

 
 
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