Risk Optima

Multi-Asset Allocation Fund: Up to 9 months

Portfolio Fund Target

~ 434,232

Strategy Focus

Alternative Investing

Target Size

$800m

Broad
  • INVESTMENT NAME

    Risk Optima

  • Strategy

    Alternative Investing, Portfolio

  • Geography

    North America, Europe, Japan

  • Investment Period

    Up to 9 Month

  • Closing date

    2025-01-10

  • Min. Investment

    $250,000

  • Max. Investment

    $749,000

  • Surge Percentage

    1.62 %

  • Surge Duration

    12 Week(s)

  • Tri-Weekly Dividend

    0.75% - 1.08%

  • Min Withdrawal

    $100

  • Max Withdrawal

    $50,000

  • Staking Interest

    1.42%

  • Diverse Staking Ratio

    (SI) 75 : 25 (FB)







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