Our Performance

Transparency is a key principle at FINCH Global Investments. Our trading results are carefully recorded and maintained to provide a clear overview of our investment performance and long-term trading track record.

While our strategies continue to be monitored on an ongoing basis, we present our trading performance through structured reporting rather than live tracking. This approach allows us to provide a clear, reliable and well-documented overview of our historical investment results.

The performance table below outlines the development of our trading strategy based on real trading activity. These figures are reviewed and updated periodically to reflect the continued progression of our investment performance.

Our objective is to maintain a transparent and verifiable performance history. Our trading data is tracked and monitored through independent platforms outside of our control, ensuring investors have a reliable and transparent overview of the long-term results of our investment strategy.


Track record at a glance

Since 2022, our live trading systems have consistently delivered measurable results.

Key metrics:

  • Average monthly return: 3,5%

  • Maximum drawdown: 25%

  • Return in 2024: 56,40%

  • The start of: Finch Global Investments track record verified since:26-08-2025!

Note: All results are gross performance before brokerage costs and client-specific fees.

Our Proven History

While Finch Global Investments is a newly established company, our investment systems have been developed and actively traded since 2019.


The performance data displayed here reflects our current track record, while detailed historical results from earlier years are available upon request.


Please contact us if you would like access to this extended performance history.

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Important risk notice

All investments involve risk, including the possible loss of capital. Past performance is not indicative of future results. CFDs are complex instruments and carry a high risk of losing money rapidly due to leverage. Ensure you fully understand the risks before engaging in any investment activity.

Why verification matters

In the investment world, trust is built on evidence. Screenshots and self-published numbers are easy to manipulate. That’s why we only use independent verification platforms, where:

  • All trades are recorded in real time

  • Results cannot be edited or hidden

  • Investors can check performance directly themselves

This way, you can confirm that our results are both authentic and consistent.

Performance in context: risk first

We do not believe in chasing unrealistic returns. Instead, our focus is on risk-adjusted growth.

  • Strategies are designed with pre-defined drawdown limits

  • Position sizing is managed to protect capital

  • Diversification across strategies reduces exposure

  • Continuous monitoring ensures consistent discipline

Our philosophy is simple: protect the downside, compound the upside.