Risk Optima
Multi-Asset Allocation Fund: Up to 9 months
Portfolio Fund Target
~ 434,232
Strategy Focus
Alternative Investing
Target Size
$800m
Broad
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INVESTMENT NAME
Risk Optima
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Strategy
Alternative Investing, Portfolio
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Geography
North America, Europe, Japan
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Investment Period
Up to 9 Month
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Closing date
2026-01-10
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Min. Investment
$250,000
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Max. Investment
$749,000
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Surge Percentage
1.66 %
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Surge Duration
5 Week(s)
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Tri-Weekly Dividend
1.35% - 1.42%
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Min Withdrawal
$100
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Max Withdrawal
$50,000
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Staking Interest
1.42%
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Diverse Staking Ratio
(SI) 75 : 25 (FB)