INDEX STRATEGIES

Our Index portfolio is a combination of the most capitalized assets. It is an optimum solution for participation in the development of the market in general, and covers a wide range of assets. The index portfolio decreases risk arising from the volatility of any particular asset, and is a passive strategy with minimal human factor involved.

Here at Matrix CIB we have set up two major index strategies:
  • A portfolio consisting of the top 20 market-capitalized digital currencies, equally weighted ("MATRIX CIB top20")
  • A portfolio consisting of the top 20 market-capitalized digital currencies, market-cap weighted ("MATRIX CIB i20")
Our future plans include deploying other new index strategies:
  • specific area-exposed index portfolios (blockchains, payment infrastructure, entertainment, escrow platforms)
  • more widely exposed index portfolios (e.g. the 30 to 50 most capitalized digital currencies)

Our index portfolio management features a high level of professionalism and trustworthiness, and helps partners save time on creating and rebalancing their portfolios.


Between May and December 2017, one of our index strategy portfolios grew by 1922%.


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