Design Your Financial Freedom For Free Today.
Our Management Services.
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+1000 Clients are trusting our trading/investing skills.
+235,43M EUR Portfolio in Capitalization.
Our Monthly Performance Average is currently at: 5%-25%.
In the past years, we didn’t make any loss.
We have the BEST Risk Distribution/Management System.
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EvySavingsBank is a so-called “neo-bank” - in simple words: Online Banking, but better.
The main reason people are scared of investing or trading is the potential risk of losing money.
And yes - statistically, 90% of private investors or retail traders lose their 90% of their capital in the first 90 days.
That’s why we are offering exactly the opposite to our clients.
We guarantee our clients a yearly interest rate from 10% to 12% for any funds that they deposit into ESB.
That would be 1% interest on your deposit money every month.
If you compare the traditional banks with us - then you will quickly realize that you get maximum 3-4% interest on your funds ANNUALLY.
Aside from that we have an inflation rate of 4-10% on average year on year - which means that your money is slowly drying out in value.
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10-12% yearly interest guaranteed + investing performance.
Wide & extensive Risk Distribution/Management System
Investing decisions only with professional trading data.
Almost no risk at all.
usual path to independence aka. “the normal path”.
1-6 months
Building the Basics.
In the first 6 months, you need to focus on mastering the basics of trading—this includes general terminology, fundamental theories, indicators, strategy support, technical analysis, and developing your understanding of macroeconomics.
These fundamentals are absolutely essential, especially during less optimistic economic conditions.
6-12 months
In-depth Analysis.
From 6 months to 1 year, you should expect to deepen and apply the foundational knowledge you’ve gained during your initial phase. This involves analyzing the current economic climate, market charts, and data, while expanding your understanding of fundamental analysis. You'll work towards developing forecasts, forming your own opinions about the market's current state, and creating informed predictions.
Additionally, you'll need to understand the macroeconomic interconnections on a global scale, including exogenous variables that may not seem directly related to economics at first glance. This holistic perspective is crucial for navigating the complexities of the financial markets.
1 year-3 years
Risk Management with Real Capital.
From 1 to 3 years, you will apply all the foundational knowledge you've gained in recent years—technical analysis, fundamental analysis, forecasting, creating trading setups, risk minimization, working with indicators, and understanding macroeconomic interconnections and their impacts on the global market—to your real-money trading account.
This is the phase where you'll need to start generating your first profits.
Losses, unfortunately, are an inherent part of this industry, especially when you're still in the early stages. Learning to manage and grow from these experiences will be key to your long-term success.
your path with our mentorship program.
1-2 weeks
Building the Basics.
In the first 2 weeks, you need to focus on mastering the basics of trading—this includes general terminology, fundamental theories, indicators, strategy support, technical analysis, and developing your understanding of macroeconomics.
These fundamentals are absolutely essential, especially during less optimistic economic conditions.
2-4 weeks
In-depth Analysis.
From 2 to 4 weeks, you should expect to deepen and apply the foundational knowledge you’ve gained during your initial phase. This involves analyzing the current economic climate, market charts, and data, while expanding your understanding of fundamental analysis. You'll work towards developing forecasts, forming your own opinions about the market's current state, and creating informed predictions.
Additionally, you'll need to understand the macroeconomic interconnections on a global scale, including exogenous variables that may not seem directly related to economics at first glance. This holistic perspective is crucial for navigating the complexities of the financial markets.
1 month-6 months
Risk Management with Real Capital.
From 1 to 6 months, you will apply all the foundational knowledge you've gained in recent years—technical analysis, fundamental analysis, forecasting, creating trading setups, risk minimization, working with indicators, and understanding macroeconomic interconnections and their impacts on the global market—to your real-money trading account.
This is the phase where you'll need to start generating your first profits.
Losses, unfortunately, are an inherent part of this industry, especially when you're still in the early stages. Learning to manage and grow from these experiences will be key to your long-term success.