INVESTMENT PORTFOLIO TRANSFERO SWISS AG

DISCRETIONARY

CON

TSAG CONSERVATIVE BTC PRICE ASSYMETRY STRATEGY

DESCRIPTION

In this mandate the company uses the capital of the investor in operations that take advantage of the price asymmetry of digital assets between brokerage firms. Our trading desk will carry out operations whenever there is an opportunity.

RISK AND REWARD PROFILE

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The indicator measures the risk of price fluctuations in the portfolio based on the last 30d volatility. This means that the purchase of the portfolio is connected to medium risk of such fluctuations. Please note that category 1 does not mean a risk-free investment. Historical data, such as is used in calculating this indicator, may not be a reliable indication of the future risk profile of the Portfolio, why the category might change in the future.

For detailed performance, track record and personal assistance.

CRO

TSAG CRONOS MINIMUM VARIANCE PORTFOLIO

DESCRIPTION

The TSAG Cronos Portfolio aims to select the set of crypto assets that minimizes Portfolio volatility including constraints of, but not limited to, maximum concentration of 60% for one crypto asset and a minimum of 4 assets in the portfolio. Crypto assets need to be listed on the top 50 coins/tokens and traded in major exchanges.

RISK AND REWARD PROFILE

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  • 02
  • 03
  • 04
  • 05

The indicator measures the risk of price fluctuations in the portfolio based on the last 30d volatility. This means that the purchase of the portfolio is connected to medium risk of such fluctuations. Please note that category 1 does not mean a risk-free investment. Historical data, such as is used in calculating this indicator, may not be a reliable indication of the future risk profile of the Portfolio, why the category might change in the future.

For detailed performance, track record and personal assistance.

GAIA

TSAG GAIA TOP 20 CAP WEIGHTED MARKET PORTFOLIO

DESCRIPTION

The TSAG Gaia aims to mimic the performance of the top 20 crypto assets by market cap. This portfolio uses the market cap weighted methodology and the portfolio is rebalanced on a monthly basis. This portfolio covers approximately 80% of the market cap of the entire ecosystem.

RISK AND REWARD PROFILE

  • 01
  • 02
  • 03
  • 04
  • 05

The indicator measures the risk of price fluctuations in the portfolio based on the last 30d volatility. This means that the purchase of the portfolio is connected to medium risk of such fluctuations. Please note that category 1 does not mean a risk-free investment. Historical data, such as is used in calculating this indicator, may not be a reliable indication of the future risk profile of the Portfolio, why the category might change in the future.

For detailed performance, track record and personal assistance.

LIBRA

TSAG LIBRA TOP 10 EQUAL WEIGHT MARKET PORTFOLIO

DESCRIPTION

The TSAG Libra Top 10 Equal Weight Portfolio is composed of the 10 most valuable digital assets by market capitalisation. Periodically the manager must rebalance the investor's portfolio to follow original distribution among assets. In this mandate, our strategy include a constraint of concentration of 10% in each asset in the portfolio.

RISK AND REWARD PROFILE

  • 01
  • 02
  • 03
  • 04
  • 05

The indicator measures the risk of price fluctuations in the portfolio based on the last 30d volatility. This means that the purchase of the portfolio is connected to medium risk of such fluctuations. Please note that category 1 does not mean a risk-free investment. Historical data, such as is used in calculating this indicator, may not be a reliable indication of the future risk profile of the Portfolio, why the category might change in the future.

For detailed performance, track record and personal assistance.

ADV

TSAG ADVANCED DIRECTIONAL TRADING STRATEGY

DESCRIPTION

The TSAG Libra Top 10 Equal Weight Portfolio is composed of the 10 most valuable digital assets by market capitalisation. Periodically the manager must rebalance the investor's portfolio to follow original distribution among assets. In this mandate, our strategy include a constraint of concentration of 10% in each asset in the portfolio.

RISK AND REWARD PROFILE

  • 01
  • 02
  • 03
  • 04
  • 05

The indicator measures the risk of price fluctuations in the portfolio based on the last 30d volatility. This means that the purchase of the portfolio is connected to medium risk of such fluctuations. Please note that category 1 does not mean a risk-free investment. Historical data, such as is used in calculating this indicator, may not be a reliable indication of the future risk profile of the Portfolio, why the category might change in the future.

For detailed performance, track record and personal assistance.