ALGO STRATEGIES

Algo trading and portfolio management offer the opportunity to gain from asset volatility at any stage of the market. We use our signature algorithms of moving average methods and implement them on the most liquid digital assets: BTC, ETH, LTC etc.

Our portfolio management methods include: retro data analysis and automatic risk-level control.

We are constantly developing and testing new strategies to find the most profitable ones for each stage of the market.
KEY FACTS

● Asset management through the portfolio of trend strategies diversified by exchanges and investment instruments

● Algorithms are based on the principles of the most reliable trend following:
- Updates of local extremes
- Exits from price channels
- Various methods of price averaging

● a portfolio of several algo-strategies ensuring that a decrease in the value of the maximum drawdown results in a much smaller decrease in the growth potential

● Current portfolio includes strategies that operate with pairs of crypto-currencies and USDT as well as crosspairs of crypto-currencies using moving average signals as well as price channels

● Trading platforms: GDAX и Bitfinex

● Monthly rebalancing

● 4 member team
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