Partnered
with:

L&E LLP
L&E LLP
L&E LLP

Partnered
with:

L&E LLP
L&E LLP
L&E LLP

The Modern
Way to Invest

At Gateway Mastertrade we put your money to work within our bespoke strategies that are led by AI and market intelligence.

No sentiment. No distractions. Just systematic strategies built to give returns. A digital quant fund for the discerning investor.

Simple. Secure. Sophisticated.

At Gateway Mastertrade we put your money to work within our bespoke strategies that are led by AI and market intelligence.

No sentiment. No distractions. Just systematic strategies built to give returns. A digital quant fund for the discerning investor.

Simple. Secure. Sophisticated.

Harness the Liquidity Pool of our Institutional Partners:

Complete Portfolio
Transparency

Monitor capital, performance, and risk metrics in real time, across all strategies. Designed for experienced investors who value control, transparency, and complete visibility into their holdings.

Monitor capital, performance, and risk metrics in real time, across all strategies. Designed for experienced investors who value control, transparency, and complete visibility into their holdings.

Lawyers

Play the Walkthrough

Through our desktop investor portal and dedicated mobile app, you can seamlessly monitor real-time performance metrics, giving you full visibility into your investments at all times.

Lawyers

Play the Walkthrough

Through our desktop investor portal and dedicated mobile app, you can seamlessly monitor real-time performance metrics, giving you full visibility into your investments at all times.

Lawyers

Play the Walkthrough

Through our desktop investor portal and dedicated mobile app, you can seamlessly monitor real-time performance metrics, giving you full visibility into your investments at all times.

Why Gateway Mastertrade?

Consistent Outperformance, Without the Risk Chasing

Consistent Outperformance, Without the Risk Chasing

Over the period 2023-2025, our portfolio strategies have delivered an average annual return of 59.1%, significantly outpacing traditional markets such as the Nasdaq (30.1%), Gold (32.0%), S&P 500 (21.0%), and MSCI World (21.0%).

3 Year Average Annual Performance

Gateway Mastertrade Portfolio*
59.1%
Nasdaq
30.1%
Gold
32%
S&P 500
21%
MSCI World
21%

*Returns reflect the average annual performance of Gateway Mastertrade’s strategies over the past three years. Past performance is not indicative of future results.

Regulated Partners

Regulated Partners

Pelican is a trading name of London & Eastern LLP, who are authorised and regulated by the Financial Conduct Authority in the UK, ref 534484. Registered address: 85 Great Portland Street, First Floor, London, W1 W7LT. They also have regulatory permissions with CySEC (for EU investors) and the Mauritius FSC (for global investors)

Pioneer Asset Management (PAM) is the Swiss regulated asset management company who perform all of the trading activities on our behalf under FINMA authorization. They have a 30-year track record in providing professional solutions for portfolio management, compliance, and risk management.

Block Asset Management (BAM) is a Luxembourg-based specialist investment manager focused on liquid alternative strategies across digital assets and systematic investing powered by Al and machine learning. Founded in 2017, BAM pioneered institutional-grade crypto investing and has managed investment solutions across full market cycles for more than eight years.

MAS Markets is an FCA regulated global liquidity provider delivering bespoke liquidity, execution, and technology solutions to brokers

Partnered with Pelican

Partnered with Pelican

AI-Powered Trading Strategies

AI-Powered Trading Strategies

Our investment process is built on years of research into market behavior, sentiment flows, and systemic inefficiencies, not headlines or human instinct. Rather than predict markets, our models respond to recurring patterns with precision, applying tested frameworks and strict risk controls to minimize downside and compound capital over time. The result is a repeatable, unemotional approach that removes guesswork and puts the investor firmly back in control.

AI

AI

AI

Various Models

Various Models

Years of Data Accumulation

Years of Data Accumulation

Robust Framework

Robust Framework

Extensive Sentiment Data

Extensive Sentiment Data

Detect Patterns

Detect Patterns

Featured Strategies

Discover our data-driven algorithms tailored to align perfectly with your investment goals and risk appetite.

No. of Subsystems : 4

GMT 4

GMT 4 is a multi-strategy FX trading system, that combines four independent entry-and-exit strategies that operate across 28 major and minor FX pairs, as well as XAU/USD and XAG/USD. Unlike grid or averaging methods, GMT 4 executes single-entry trades with defined stop-loss levels, providing clear risk parameters on every position. The strategy is supported by the same dedicated infrastructure as our GMT-series lineup and incorporates layered risk management, including a firm 30% maximum risk cut-off. The result is a robust, high-discipline system engineered for steady performance and meaningful diversification within a broader trading portfolio.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

37.20%

Average Winning Month

4.93%

Winning Months

73.53%

No. of Subsystems : 4

GMT 4

GMT 4 is a multi-strategy FX trading system, that combines four independent entry-and-exit strategies that operate across 28 major and minor FX pairs, as well as XAU/USD and XAG/USD. Unlike grid or averaging methods, GMT 4 executes single-entry trades with defined stop-loss levels, providing clear risk parameters on every position. The strategy is supported by the same dedicated infrastructure as our GMT-series lineup and incorporates layered risk management, including a firm 30% maximum risk cut-off. The result is a robust, high-discipline system engineered for steady performance and meaningful diversification within a broader trading portfolio.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

37.20%

Average Winning Month

4.93%

Winning Months

73.53%

No. of Subsystems : 4

GMT 4

GMT 4 is a multi-strategy FX trading system, that combines four independent entry-and-exit strategies that operate across 28 major and minor FX pairs, as well as XAU/USD and XAG/USD. Unlike grid or averaging methods, GMT 4 executes single-entry trades with defined stop-loss levels, providing clear risk parameters on every position. The strategy is supported by the same dedicated infrastructure as our GMT-series lineup and incorporates layered risk management, including a firm 30% maximum risk cut-off. The result is a robust, high-discipline system engineered for steady performance and meaningful diversification within a broader trading portfolio.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

37.20%

Average Winning Month

4.93%

Winning Months

73.53%

No. of Subsystems : 30

GMT 3X

GMT 3X is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML, featuring a NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 30+ independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

28.92%

Average Winning Month

4.95%

Winning Months

91.43%

No. of Subsystems : 30

GMT 3X

GMT 3X is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML, featuring a NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 30+ independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

28.92%

Average Winning Month

4.95%

Winning Months

91.43%

No. of Subsystems : 30

GMT 3X

GMT 3X is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML, featuring a NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 30+ independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

28.92%

Average Winning Month

4.95%

Winning Months

91.43%

No. of Subsystems : 44

GMT 44

GMT 44 is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. This strategy features an NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 44 independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

50%
37.5%
25%
12.5%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

14.14%

Average Winning Month

5.41%

Winning Months

90.20%

No. of Subsystems : 44

GMT 44

GMT 44 is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. This strategy features an NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 44 independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

50%
37.5%
25%
12.5%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

14.14%

Average Winning Month

5.41%

Winning Months

90.20%

No. of Subsystems : 44

GMT 44

GMT 44 is a state-of-the-art trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. This strategy features an NSGA-II genetic algorithm-based allocation module.

The system dynamically allocates capital across 44 independent subsystems, trading FX and commodities. It finds optimal allocations based on risk-adjusted return metric such as Smart Sharpe and Sortino, as well as portfolio variance and advanced correlation data. It uses a proprietary scoring framework to evaluate subsystem performance, further focusing on diversification, and risk stability.

Past performance is not a guarantee of future returns.

50%
37.5%
25%
12.5%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

14.14%

Average Winning Month

5.41%

Winning Months

90.20%

No. of Subsystems : 9

GMT 9

GMT 9 focuses on the 28 major, minor and cross FX pairs, alongside gold. The vetting process of subsystems has been improved with strict selection by risk-adjusted KPIs to form a uncorrelated portfolio of trading approaches. It aims to deliver returns on the higher spectrum while offering a balanced risk profile of 4-10% risk per subsystem. At its core is a trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. It is the latest of the GMT series systems featuring an NSGA-II genetic algorithm-based allocation module. The system finds optimal allocations based on risk-adjusted return metrics, portfolio variance and advanced correlation data. It uses a proprietary scoring framework to continuously evaluate subsystem performance and adapt, further focusing on diversification, and risk stability. It holds trades on average for 72h, taking approximately 250 positions per month.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

101.63%

Average Winning Month

6.95%

Winning Months

91.67%

No. of Subsystems : 9

GMT 9

GMT 9 focuses on the 28 major, minor and cross FX pairs, alongside gold. The vetting process of subsystems has been improved with strict selection by risk-adjusted KPIs to form a uncorrelated portfolio of trading approaches. It aims to deliver returns on the higher spectrum while offering a balanced risk profile of 4-10% risk per subsystem. At its core is a trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. It is the latest of the GMT series systems featuring an NSGA-II genetic algorithm-based allocation module. The system finds optimal allocations based on risk-adjusted return metrics, portfolio variance and advanced correlation data. It uses a proprietary scoring framework to continuously evaluate subsystem performance and adapt, further focusing on diversification, and risk stability. It holds trades on average for 72h, taking approximately 250 positions per month.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

101.63%

Average Winning Month

6.95%

Winning Months

91.67%

No. of Subsystems : 9

GMT 9

GMT 9 focuses on the 28 major, minor and cross FX pairs, alongside gold. The vetting process of subsystems has been improved with strict selection by risk-adjusted KPIs to form a uncorrelated portfolio of trading approaches. It aims to deliver returns on the higher spectrum while offering a balanced risk profile of 4-10% risk per subsystem. At its core is a trading system that optimizes investment strategies through advanced correlation analysis, utilizing genetic algorithms, and ensembled filtering with ML. It is the latest of the GMT series systems featuring an NSGA-II genetic algorithm-based allocation module. The system finds optimal allocations based on risk-adjusted return metrics, portfolio variance and advanced correlation data. It uses a proprietary scoring framework to continuously evaluate subsystem performance and adapt, further focusing on diversification, and risk stability. It holds trades on average for 72h, taking approximately 250 positions per month.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$10,000

12 Month ROI

101.63%

Average Winning Month

6.95%

Winning Months

91.67%

No. of Subsystems : 8

GMT Crypto 02

GMT Crypto 02 is a high-frequency trading strategy purpose-built to capture structural inefficiencies in the digital asset markets, specifically BTCUSD and ETHUSD.

GMT Crypto 02 leverages a proprietary trading system powered by advanced correlation analysis, machine learning ensemble filtering, and an NSGA-II genetic algorithm for capital allocation.

The strategy dynamically distributes capital across 8 independent subsystems, each engineered to detect and exploit predictable patterns in crypto price behaviour. Allocation decisions are driven by proprietary scoring frameworks and risk-adjusted performance metrics such as Smart Sharpe and Sortino ratios.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$35,000

12 Month ROI

25.89%

Average Winning Month

11.89%

Winning Months

74.19%

No. of Subsystems : 8

GMT Crypto 02

GMT Crypto 02 is a high-frequency trading strategy purpose-built to capture structural inefficiencies in the digital asset markets, specifically BTCUSD and ETHUSD.

GMT Crypto 02 leverages a proprietary trading system powered by advanced correlation analysis, machine learning ensemble filtering, and an NSGA-II genetic algorithm for capital allocation.

The strategy dynamically distributes capital across 8 independent subsystems, each engineered to detect and exploit predictable patterns in crypto price behaviour. Allocation decisions are driven by proprietary scoring frameworks and risk-adjusted performance metrics such as Smart Sharpe and Sortino ratios.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$35,000

12 Month ROI

25.89%

Average Winning Month

11.89%

Winning Months

74.19%

No. of Subsystems : 8

GMT Crypto 02

GMT Crypto 02 is a high-frequency trading strategy purpose-built to capture structural inefficiencies in the digital asset markets, specifically BTCUSD and ETHUSD.

GMT Crypto 02 leverages a proprietary trading system powered by advanced correlation analysis, machine learning ensemble filtering, and an NSGA-II genetic algorithm for capital allocation.

The strategy dynamically distributes capital across 8 independent subsystems, each engineered to detect and exploit predictable patterns in crypto price behaviour. Allocation decisions are driven by proprietary scoring frameworks and risk-adjusted performance metrics such as Smart Sharpe and Sortino ratios.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$35,000

12 Month ROI

25.89%

Average Winning Month

11.89%

Winning Months

74.19%

No. of Subsystems : 4

GMT Crypto 03

GMT Crypto 03 is a high-frequency crypto strategy, engineered to identify and exploit recurring structural patterns in BTCUSD and ETHUSD.

GMT Crypto 03 uses a multi-signal trading engine combining volatility mapping, cross-pair correlation filters, and momentum–reversion classifiers to target inefficiencies across intraday and multi-session price cycles. The strategy allocates capital across 4 autonomous subsystems, each designed to capture a distinct behavioural edge within crypto market microstructure.

Capital distribution is governed by a streamlined optimisation framework that evaluates subsystem performance through proprietary risk-adjusted scoring metrics.

With an average trade duration of approximately 18 hours and a monthly activity range of 700–800 positions, GMT Crypto 03 operates as a mid-frequency strategy with a strong emphasis on liquidity, execution quality, and robustness across varying market regimes.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

48.66%

Average Winning Month

16.34%

Winning Months

64.52%

No. of Subsystems : 4

GMT Crypto 03

GMT Crypto 03 is a high-frequency crypto strategy, engineered to identify and exploit recurring structural patterns in BTCUSD and ETHUSD.

GMT Crypto 03 uses a multi-signal trading engine combining volatility mapping, cross-pair correlation filters, and momentum–reversion classifiers to target inefficiencies across intraday and multi-session price cycles. The strategy allocates capital across 4 autonomous subsystems, each designed to capture a distinct behavioural edge within crypto market microstructure.

Capital distribution is governed by a streamlined optimisation framework that evaluates subsystem performance through proprietary risk-adjusted scoring metrics.

With an average trade duration of approximately 18 hours and a monthly activity range of 700–800 positions, GMT Crypto 03 operates as a mid-frequency strategy with a strong emphasis on liquidity, execution quality, and robustness across varying market regimes.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

48.66%

Average Winning Month

16.34%

Winning Months

64.52%

No. of Subsystems : 4

GMT Crypto 03

GMT Crypto 03 is a high-frequency crypto strategy, engineered to identify and exploit recurring structural patterns in BTCUSD and ETHUSD.

GMT Crypto 03 uses a multi-signal trading engine combining volatility mapping, cross-pair correlation filters, and momentum–reversion classifiers to target inefficiencies across intraday and multi-session price cycles. The strategy allocates capital across 4 autonomous subsystems, each designed to capture a distinct behavioural edge within crypto market microstructure.

Capital distribution is governed by a streamlined optimisation framework that evaluates subsystem performance through proprietary risk-adjusted scoring metrics.

With an average trade duration of approximately 18 hours and a monthly activity range of 700–800 positions, GMT Crypto 03 operates as a mid-frequency strategy with a strong emphasis on liquidity, execution quality, and robustness across varying market regimes.

100%
75%
50%
25%
0

Mar 2025

Jun 2025

Oct 2025

Mar 2026

Minimum Investment

$50,000

12 Month ROI

48.66%

Average Winning Month

16.34%

Winning Months

64.52%

OPTION 1

Invest Directly

Investing directly into one or more strategies is designed to be simple and transparent, from initial registration to strategy allocation.

Getting started will only take a few minutes and is supported by our video guide and investor relationship team. 

Click the “Investor Dashboard” button below to start your journey.

01

Select Your Stratagies

Review the detailed factsheets for each strategy that outlines its focus, performance and other metrics, helping you make informed decisions about your portfolio allocation.

Our process begins with identifying and assessing your intellectual property assets. We work closely with you to understand your innovations, whether they are inventions, trademarks, copyrights, or trade secrets. This step involves detailed analysis to evaluate the uniqueness, market potential, and legal protection available for your IP. By understanding your IP assets thoroughly, we lay a solid foundation for robust protection and strategic management.

01

Select Your Stratagies

Review the detailed factsheets for each strategy that outlines its focus, performance and other metrics, helping you make informed decisions about your portfolio allocation.

Our process begins with identifying and assessing your intellectual property assets. We work closely with you to understand your innovations, whether they are inventions, trademarks, copyrights, or trade secrets. This step involves detailed analysis to evaluate the uniqueness, market potential, and legal protection available for your IP. By understanding your IP assets thoroughly, we lay a solid foundation for robust protection and strategic management.

01

Select Your Stratagies

Review the detailed factsheets for each strategy that outlines its focus, performance and other metrics, helping you make informed decisions about your portfolio allocation.

Our process begins with identifying and assessing your intellectual property assets. We work closely with you to understand your innovations, whether they are inventions, trademarks, copyrights, or trade secrets. This step involves detailed analysis to evaluate the uniqueness, market potential, and legal protection available for your IP. By understanding your IP assets thoroughly, we lay a solid foundation for robust protection and strategic management.

02

Set up Your Dashboard

Select “Investor Dashboard”, follow the instructions and provide the requested information. The process is very straightforward and supported by a Walkthrough video showing you each step visually, plus our in-house support team.

Once your IP assets are identified, we assist you in obtaining the necessary legal protection. This involves drafting and filing patent applications, registering trademarks, and securing copyrights. Our experienced team navigates the complex regulatory landscape, ensuring all documentation is accurate and comprehensive. We aim to streamline the process, making it as efficient as possible so that your IP is protected quickly and effectively, giving you peace of mind.

02

Set up Your Dashboard

Select “Investor Dashboard”, follow the instructions and provide the requested information. The process is very straightforward and supported by a Walkthrough video showing you each step visually, plus our in-house support team.

Once your IP assets are identified, we assist you in obtaining the necessary legal protection. This involves drafting and filing patent applications, registering trademarks, and securing copyrights. Our experienced team navigates the complex regulatory landscape, ensuring all documentation is accurate and comprehensive. We aim to streamline the process, making it as efficient as possible so that your IP is protected quickly and effectively, giving you peace of mind.

02

Set up Your Dashboard

Select “Investor Dashboard”, follow the instructions and provide the requested information. The process is very straightforward and supported by a Walkthrough video showing you each step visually, plus our in-house support team.

Once your IP assets are identified, we assist you in obtaining the necessary legal protection. This involves drafting and filing patent applications, registering trademarks, and securing copyrights. Our experienced team navigates the complex regulatory landscape, ensuring all documentation is accurate and comprehensive. We aim to streamline the process, making it as efficient as possible so that your IP is protected quickly and effectively, giving you peace of mind.

OPTION 2

Invest via a Fund

Through our partnership with Block Asset Management (BAM) the GMT strategies are now available through regulated structures that can be held on investment platforms and within life wrappers using an ISIN code.

This option is ideal for investors that want to create a diversified portfolio from the GMT strategies available, whilst outsourcing the decisions on portfolio weightings to an authorised investment fund manager (BAM);

BAM System Edge Strategies

This is a blend of the two GMT Crypto strategies

BAM QS FX & Commodities

This is a blend of the four GMT Forex and Commodities strategies

Click here to find out more about Block Asset Management

If you are a Wealth Manager or institutional investor, contact us to find out about our commercial terms.

Enter the Gateway

Ready to take the next step? Contact us to learn how we can help you achieve your investment goals.

At Gateway Mastertrade, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure your assets are protected in line with industry best practices and regulatory standards. Learn more

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. At least 72.5% of retail investors lose money when trading CFDs with the broker. You should consider whether you understand how CFDs work, and whether you can afford to take the high risk of losing your money. Learn more

Regulation

For the avoidance of doubt, Gateway Mastertrade is not independently regulated by the FCA. Gateway Mastertrade operates as a Strategy Provider to Pelican Trading, which is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK (ref. 534484).

©2026 Gateway Mastertrade. All rights reserved.

Enter the Gateway

Ready to take the next step? Contact us to learn how we can help you achieve your investment goals.

At Gateway Mastertrade, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure your assets are protected in line with industry best practices and regulatory standards. Learn more

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. At least 72.5% of retail investors lose money when trading CFDs with the broker. You should consider whether you understand how CFDs work, and whether you can afford to take the high risk of losing your money. Learn more

Regulation

For the avoidance of doubt, Gateway Mastertrade is not independently regulated by the FCA. Gateway Mastertrade operates as a Strategy Provider to Pelican Trading, which is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK (ref. 534484).

©2026 Gateway Mastertrade.
All rights reserved.

Enter the Gateway

Ready to take the next step? Contact us to learn how we can help you achieve your investment goals.

At Gateway Mastertrade, we prioritise the security of our clients' investments. While we do not manage funds directly through pooled accounts, we ensure your assets are protected in line with industry best practices and regulatory standards. Learn more

CFDs are complex instruments and come with a high risk of losing money rapidly due to leverage. At least 72.5% of retail investors lose money when trading CFDs with the broker. You should consider whether you understand how CFDs work, and whether you can afford to take the high risk of losing your money. Learn more

Regulation

For the avoidance of doubt, Gateway Mastertrade is not independently regulated by the FCA. Gateway Mastertrade operates as a Strategy Provider to Pelican Trading, which is a trading name of London & Eastern LLP. London & Eastern LLP is authorised and regulated by the Financial Conduct Authority in the UK (ref. 534484).

©2026 Gateway Mastertrade. All rights reserved.