Multi-Asset Diversified Portfolios

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MULTI-ASSET DIVERSIFIED PORTFOLIOS

1. Metals

Characteristics of the portfolio.

Investment $3000+
Monthly Return 1.5 to 3%
Duration 12 Months
Type RETURN (ROI)

This strategy focuses on exposure to the most in demand precious metals, notably gold and silver, as a powerful anti-inflationary measure, it generates returns through the global futures markets, creating a balance between hedging and currency opportunities in geographical timelines and global demand across each holding.

2. Fixed Income

Characteristics of the portfolio.

Investment $5,000+
Monthly Return 1.5 to 3%
Duration 12 Months
Type RETURN (ROI)

Access comprehensive deep market liquidity to the global Fixed Income and Bond markets, sourced by cutting edge pricing, analytics, value, opportunity and automation. Technology and human monitoring blends a multi-market diversification in the space, while assuring longevity through ongoing returns.

3. Energy

Characteristics of the portfolio.

Investment $10,000+
Monthly Return 2 to 4%
Duration 12 Months
Type RETURN (ROI)

The focus of this strategy is to invest in a wide variety of sub-sectors and companies that are engaged in different areas of the global energy spectrum. Creating a balance between traditional and renewable energies as well as future resources and minerals, it includes oil & gas, solar, bio-energy and other rare-earth related energy resource minerals such as lithium.

4. Tech

Characteristics of the portfolio.

Investment $20,000+
Monthly Return 2.5 to 5%
Duration 12 Months
Type RETURN (ROI)

This strategy focuses on leveraged trading into the technology sector that is actively managed in a dynamic way, delivering high momentum short- term positions based on technology equities. Returns are compounded and re-invested doubling down on daily growth with a high appetite for bullish performance.

5. Global Growth

Characteristics of the portfolio.

Investment $30,000+
Monthly Return 3 to 5.5%
Duration 12 Months
Type RETURN (ROI)

The focus is to deliver targeted exposure to the global high performing equity market, being actively managed, this portfolio aims to provide steady long term growth while offering entry to pricing opportunity versus asset value by identifying target opportunities and market inefficiencies.

6. DeFI_ALG_RTH

Characteristics of the portfolio.

Investment $50,000+
Monthly Return 3 to 6%+
Duration 12 Months
Type RETURN (ROI)

This strategy leans heavily into cutting edge technology trading methodologies with a focus on hybrid dynamic systemic analysis and quantitative AI generated opportunities. A combination of leveraged HF trading strategies and the decentralised finance space provides a high generative output ratio for active portfolios.

Strategies use a combination of compound interest, leveraged trading, hedging and AI $50,000+ 2 to 4%+ Month RETURN (ROI) algorithmic technology to achieve on target returns

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