1. To diversify into crypto as an asset class with minimum risk and maximum gains
2.Focus on only the top 20 tokens by Marketcap with equal weighted allocation.
3. Smart Index Invests when the individual tokens are showing strength which leads to outperformance.
4. In Bear Markets the strategy sits in cash which minimizes the risk on the portfolio.
5. Portfolio rebalancing is done every month.
6. It is best suited for Investors looking to diversify their investments in crypto markets.
7. The strategy is based on fully automated quantitative analysis based Algos and can be integrated with your Binance exchange
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