The investment strategy of Velleris investment company is aimed at obtaining of the maximum income level for its customers at the lowest risk level. This is achieved through spreading the invested funds among a wide range of assets that are selected on the basis of the current situation in the stock markets. The portfolio structure consists of conservative instruments that are intended to offset the value fluctuations of more profitable instruments. The conservative instruments include bonds and rental real estate funds. The shares of fastest growing companies, as well as shares of companies from developing countries are more risky assets. The strategy is intended for investors who want to make a profit even at the world markets decline situation. An experienced management team selects the most liquid and attractive assets for a dividend yield and value growth. A well-coordinated teamwork of the fund guarantees investors a stable income and reliability throughout the entire period of cooperation.
|Company Details||Company Statistcs|
|Our Investment:||$40.00||Payout Ratio:||
|Min/Max:||$10 / $200||Withdrawal||
|Added:||Jan 25th, 2016||Monitored:||9 days|
|Lifetime:||9 days||Last Payout:||Jan 27th, 2016|