GoldHorn World strategy analyzes macroeconomic factors and allocates assets based on the long-term outlook.
The benefits of this method is rationality with much less exposed to volatility. Our in-depth analysis of key economic indicators such as GDP growth, inflation, unemployment rates, interest rates, and oil prices allow us to make informed, strategic decisions that maximize returns while minimizing risk.
The suggested investment period: 2-3 years.
The volatility parameter shows how volatile this strategy is relative to the USD. The higher the percentage, the higher its volatility and the riskier the investment.
GoldHorn Crypto conducts bi-monthly strategy rebalancing or adjustments of the weightings (allocations) of individual tokens.
For rebalancing we conduct fundamental analysis to optimize a portfolio by selling assets that have moved up and redistributing funds into assets that haven’t moved yet.
For example, if a certain coin jumps in value, we take profits and rebuy coins that have lower performance in the selected period within the strategy. That reflects in a more efficient price averaging method with higher return when the market goes up.
The ICONOMI trading engine, which is linked to 14 of the world’s most prominent cryptocurrency exchanges, is used to accomplish the rebalancing. It ensures minimal transaction costs, limits your risk exposure, and offers diversification.
GoldHorn is here to guide and mentor newcomers on the market and to educate by providing transparent insights on the topic.
For assistance in getting started, feel free to contact us for more information.