Balanced Portfolio

Medium Risk Growth

Mix of stable and growth assets for balanced returns with moderate risk exposure.

Expected Return
15-20%
per year
Min Investment
25,000
RUB
Max Investment
5,000,000
RUB
Duration
6-18
months
Strategy Description

The Balanced Portfolio strategy combines stability with growth potential. We allocate investments across multiple asset classes to optimize risk-adjusted returns.

Investment Allocation:
  • 40% - Blue-chip stocks and ETFs
  • 30% - Corporate bonds and fixed income
  • 20% - Growth stocks and emerging markets
  • 10% - Cash and equivalents
Key Benefits:
  • Professional portfolio management
  • Monthly returns distribution
  • Diversified risk exposure
  • Transparent reporting
Ready to Invest?
Minimum 25,000 RUB
Maximum 5,000,000 RUB
Start Investing

KYC verification required

Risk Warning

Investments can go down as well as up. Past performance does not guarantee future results. Please read the risk disclosure before investing.

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