
Consistent returns. Expert management. Flexible investment options.

At PM Financials, our Fixed Income Plan (FIP) is designed to help you achieve your financial goals with confidence.
Combining professional portfolio management, diversified asset allocation, and structured returns, FIP offers a secure, transparent, and adaptable investment experience.
Whether you're seeking steady returns, portfolio diversification, or capital preservation, our team of expert traders and analysts works to identify high-probability opportunities backed by in-depth research and market insight.
The Fixed Income Plan (FIP) is structured to offer clear return expectations while giving you flexibility in how and when you access your funds.
10% p.a.*
1 Year
Flexible, based on your preference
*Returns are indicative and subject to market performance. Past performance is not a guarantee of future results.

We diversify across multiple asset classes to balance risk and reward, building a portfolio that is resilient across market cycles.
Our FIP invests in indices, options trading strategies, precious metals such as gold and silver, exchange-traded funds (ETFs), energy funds, commodity futures, and foreign exchange (FX).
This diversified allocation helps reduce concentration risk while seeking consistent income generation.

Our approach focuses on statistical arbitrage and market trend forecasting to capture consistent gains over time.
By leveraging cutting-edge analytics, disciplined risk management, and continuous monitoring, we aim to protect your capital while generating competitive returns.

20+ years of combined expertise in financial markets underpin every decision made within the FIP.
Our global experience in managing diverse portfolios allows us to navigate complex market environments with confidence.
With a client-centric approach and a secure, compliant investment framework, your growth and capital protection remain our top priorities.