IXI Treasury Holdings Ltd. optimizes the Investment with great carefulness to risk vs. return. Therefore, the Company’s Investment Strategy is to obtain a diverse portfolio of different assets.

Accepting the fact that the world might not develop in the way that anyone had expected is a difficult but necessary element of investment life. By acknowledging this fact, and taking into account the uncertainty when executing the investment strategies, the Company aim for generating an attractive, long-term risk adjusted return.

As many investment assets have different risk and return, IXI Treasury Holdings Ltd. work to maintain the optimum investment based on the selected investment assets;

•Government Bonds
•Pharmaceuticals ETF
•TOP 100 NASDAQ Shares
•Insurance Policies
•Best Fund of Funds

By structuring the correct portfolio of these assets, basic economic theory applies the optimum portfolio is found. To structure that correct, is the key of the Company’s successful Investment Strategy.