Balanced Portfolio
Medium Risk GrowthMix 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?
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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