IX15 leverages digital currencies’ low correlation to stocks and bonds, and is purpose built to diversify investments from traditional asset classes heavily linked to general economic fundamentals – a true hedge against inevitable market cyclicality and impending economic turmoil. When properly employed in back-testing, IX15 enhanced the returns of a traditional stock and bond portfolio by a significant 20% over five years without compromising on risk.
With IX15, investors hold the top 15 digital currencies ranked by market cap, re-balanced every 30 days. This means, whatever happens to any individual digital currency, IX15 holders will always hold the top 15 upon each rebalancing.
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