- Fixed Bond interest of 4% p.a. / quarterly paid / potential of profit on NAV
- Daily Liquidity !
- Daily tradeable at Deutsche Börse Frankfurt / weekly calculation of NAV
- “asset backed” through portfolio pledge + wide diversification of assets
- Few or no correlation to the traditional markets
- Low volatility (1.8-2.0)
- Sharpe Ratio (2.2-2.8)
- Portfolios have a high average of months with a positive return (>90% !)
- Diversification opportunities in Currencies, Liquidity, Portfolios
- Low cost due to very low management fees of 0.3% (TER 0.5%)