A next-generation hedge fund focused
on cryptocurrencies and innovative
financial instruments
$1 528 397
Assets Under Management
$815 952
Dividends paid to investors since 2021
+95.14%
Average return over 3 years
$1 528 397
Assets Under Management
$815 952
Dividends paid to investors since 2021
+95.14%
Average return over 3 years
Diversification allows the fund to reduce risks by distributing investments across different assets and market sectors, while active rebalancing enables timely adjustments to the portfolio according to changing market conditions, maximizing profitability and minimizing risks at any given time.
During periods of stagnation and further market growth, we buy and accumulate spot assets at the most advantageous prices, using funds from reserves and income from futures contracts.
During periods of stagnation and further market growth, we buy and accumulate spot assets at the most advantageous prices, using funds from reserves and income from futures contracts.
The fund actively employs principles of investment diversification across various asset classes and market sectors to adapt to changing market conditions, mitigate risks, and enhance profitability at any given moment.