Our portfolio is fully diversified with regards to the cryptocurrency market. The correlation coefficient showcases our main hedging mechanic of utilizing USDT and DGD to balance a synchronous exposure to bitcoin. Furthermore, the AVG 50 is highly liquid due to the overemphasis on trading volume as opposed to sheer market capitalization.
Establish transparency in the crtyptocurrency market.
Provide a safe investment option.
Outperform every other index/portfolio in the market.
Uncorrelated with the general cryptocurrency market.
Smart hedging strategies to mitigate downfalls.
Re-balancing and stress testing.