Funds
At Bloomex, commitment to investors is a shared responsibility. This creates a powerful incentive for long-term growth and responsible decision-making.
The Interests of Investors Are Our First Priority.
Bloomex Balance Fund
Category: Medium Risk
Annual Projected Return: 30%-50%
Maximum Cut Loss: 30% ~ 40%
Fund Objective:
The Balance Fund is designed to achieve its goals by maintaining a strategic balance between conservative and aggressive investment approaches. This ensures steady growth while minimizing unnecessary risks.
Fund Allocation Strategy:
Currency Pair Allocation: The fund's allocation to currency pairs mirrors global trading volumes, aligning the fund's exposure with worldwide forex dynamics. This strategy avoids unnecessary speculative risks by focusing on the intrinsic movements of global currency markets.
Investment Structure:
Block System: Currency pairs are grouped into blocks, with each block comprising multiple strategies applied to the same pairs. This conservative approach leverages various strategies to achieve consistent gains on individual currency pairs.
Dynamic Portfolio of Blocks: The Balance Fund is structured as a portfolio of currency pair blocks. The portfolio's composition reflects the actual dynamics of global forex, adjusting fluidly to align with current market sentiments. This ongoing adjustment ensures the fund remains in sync with global forex dynamics.
Risk Mitigation:
Strategy Monitoring: The Fund Manager actively monitors and evaluates the performance of selected strategies to ensure optimal results, adjusting as necessary to maintain performance.
Independent Monitoring: Each currency pair is monitored independently, with risks related to the currency pairs' countries ring-fenced to isolate and contain them, preventing any single risk from affecting the entire fund.
Continuous Rebalancing: The fund continuously rebalances both the composition of blocks and the strategies within those blocks to improve performance and adapt to changes in the forex market.
Suitability:
The Balance Fund is ideal for investors seeking to build long-term financial assets that capitalize on global forex dynamics while avoiding unnecessary high risks. The fund's strategic balance between conservatism and aggressiveness offers an opportunity for growth aligned with global market movements.