Portfolio Management
Affordable investment in a ready-made strategy from experienced traders. Yield up to 60% per annum. 6 years of stable operation of the strategy without losses.
Hands-Off Investing
Your portfolio is managed by stock market professionals
Transparency
You can get a trade report at any time
Available to anyone
You do not need to analyze the market and make complex decisions on your own
Licensed European Broker
How it works
Portfolio management is a professional financial activity in which the client transfers funds to the manager, and he independently invests in instruments, sells and buys assets, receiving a return.
Portfolio management of individual investors gets access to a specific range
of instruments, proven indicators of the investment strategy and receives a higher income compared to a bank deposit.
Introducing our strategy
«Commodity Spreads»
Our approach combines classical commodity trading with quantitative analysis and detailed risk management methods. The portfolio includes trading 30 futures in various markets, we analyze more than 200 spreads daily.
Moderate
Strategy risk type
$10 000
Min. amount of investment
43.41% per year
Average profitability
Strategy goals:
Providing portfolio profitability more than bank deposits
Diversification: spread risk and reduce the impact of volatility on any single commodity
1 year
Min. investment period
2-5 years
Recommended investment period
How much can I earn?
Profitability by year

In 5 years of trading, the strategy has not had a single unprofitable year.
Case studies of our clients
Client


Total profitability
Jannet Wolters
56.90%
Period


Total profit
1 july 2023 - 1 july 2024
$977,817.74
Amount of investment:


Max. drawdown:
$2,351,976.82
-27.58%
Asset value:


Max. daily profitability:
$3,329,794.56
15.67%
Total commissions:


Profitability in 10 days:
$311,311.76
2.36%
Client


Total profitability
Sophia Georgeou
17.70%
Period


Total profit
1 july 2023 - 1 july 2024
$46,188.99
Amount of investment:


Max. drawdown:
$260,880.00
-27.58%
Asset value:


Max. daily profitability:
$307,068.99
4.99%
Total commissions:


Profitability in 10 days:
$6,072.50
2.36%
Got questions?
Get free advice
Portfolio Management is simple and reliable
  • Mind Money commissions depend on your profit
    Your investments will be managed as efficiently as possible
  • 6 years of break-even stable operation of the strategy
    The proven strategy over the years gives profits to clients consistently
  • Mind Money is a licensed broker
    The company is registered in Cyprus and has a license to provide Portfolio Management services
  • There's a professional behind every trade
    The expertise of strategy managers is confirmed by certificates according to European standards
Reliable company
15 years
of successful operation in the financial markets
CySEC License
for the provision of brokerage and Portfolio Management services
Strategy in Bloomberg
The strategy can be tracked in the Bloomberg terminal
How do I get the service?
You need to sign up to Mind Money
Top up your account in any convenient way
Sign a contract for Portfolio Management
Start earning income from professional trading by our managers
How do I get the service?
You need to sign up to Mind Money
Top up your account in any convenient way
Sign a contract for Portfolio Management
Start earning income from professional trading by our managers
Application to get Portfolio Management
Why choose Portfolio Management from Mind Money?
High profitability with minimal risks
We strive to provide our investors with a high level of profitability with minimal risks.
Diversity and stability
Our strategy portfolio is carefully diversified, which helps to distribute risks and reduce the impact of volatility. We use historical data since the 1970s, which guarantees the reliability of our strategies in any economic environment.
Unique approach to risk management
We pay special attention to rare tail events in the market, effectively managing risks in such situations. Our automated monitoring protocols allow us to respond in a timely manner to any changes in market conditions.
Antifragility
Our strategies are “antifragile”, showing sustainable results even in challenging market conditions. This means that when there are challenges in the market, our strategies perform even better.
Antifragility
Our strategies are “antifragile”, showing sustainable results even in challenging market conditions. This means that when there are challenges in the market, our strategies perform even better.
Diversifying "additive"
Our strategies are not correlated to most traditional markets (stocks, bonds, currencies), making them an ideal addition to your investment portfolio. Incorporating our strategies into your portfolio will significantly improve its overall performance, such as Sharpe, Sortino and Calmar ratios.
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