It is relatively conservative, although this word in cryptoworld, which grows more than 1000% per year, may seem inadequate. We use standard procedures to distribute (diversify) and minimize risk. We spread the portfolio into two to twenty cryptos. These are exclusively cryptos with a market capitalization over $1 billion.
We advise our customers and implement their instructions at the same time. We recommend to hold cryptos for a long time. At the same time, we continuously monitor market developments. We do not respond to weak market signals by regrouping the portfolio, but in the case of strong market indications, we recommend reallocating cryptos between themselves or partially converting them into real currencies (fiat).
Big and stable part of our standard portfolio is Bitcoin BTC. It is the cryptocurrency with the highest market capitalization (around $100 billion!). Other cryptos we recommend to invest into are e.g. Ethereum ETH, Bitcoin Cash BCH, Litecoin LTC, IOTA MIOTA, Ripple XRP, Dash, Monero XMR, and Bitcoin Gold BCG.
We are testing this strategy now and we only offer it to selected investors.
Investments are carried out in cryptos with higher potential for price increase but with greater risk. This concerns in particular:
ICO is similar to IPO, so it is the newly emerging cryptocurrency that is coming to market. As big investors, we are able to buy them at the pre-sale stage, where they are up to 50% cheaper. However, the analysis of these options is very challenging and we only choose between 1 and 2 on average from 10 analyzed ICOs.
Cryptos with a market capitalization of less than $1 billion
There are over two thousand of them. We are continually monitoring this market and, in case of a strong market signal, we issue recommendations. Often, this is a short-term investment when the market price drops a lot within a few days.