In terms of investing in securities, Strategic Value Ltd focuses on two parts:
- Low-risk actions through investing in government bonds of developed and developing countries, which have been assigned an international credit rating. Investing in fixed-rate bonds ensures a stable, regular income stream and of course aims to diversify the general portfolio of the company.
- Medium and high-risk operations with shares. Our team of outstanding analysts creates an investment portfolio, which consists not only of shares of most prominent tech companies. We believe that portfolio management is far more than just buying stocks and bonds and hoping they do well, our portfolio is actively managed and rebalancing takes place on a regular basis (weekly/monthly/quarterly).
By combining low and medium to high-risk strategies we can ensure a stable and predictable level of ROI.