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The basic goal.
Making a profit with no direct correlation with the stock market.


Management framework.
A diversified investment portfolio, which is based on corporate bonds, as well as liquid shares. Active manager control when using hedging. Also, in a small proportion, in the portfolio can be included global index and commodities futures as well as options on foreign stocks. Buying or selling, and hedging of different tools are based on their fundamental and technical viability and the situation on the global stock, commodity and debt markets.
Plan:
21% after 10 days
Plan Spent Amount ($) Profit (%)
Plan 1 $10 - $100,000 21.00


Accept: Liberty Reserve,Perfect Money,EgoPay


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