WHY KARA INVESTMENTS

STRENGTHS

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Risk management

Our goal is to create sustainable added value to investment portfolios by varying market exposure dynamically as conditions – and therefore risks – change.

Flexible

Our algorithms are comprised of dynamic strategies that changes position according to markets' behaviour. They are not static, or immutable sticking to a certain prediction that could realize or not.  

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Portfolio diversification

Our products offer diversification without giving away profits. Our profits are achieved with close to zero market correlation. Which means we make money as well when markets go down.

Peace of mind

it is easier to take decisions based on rational insights. Our robot is not affected by human emotion, they take objective and disciplined decisions to deliver rentability.

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Transparency

Fair, clear and simple fee system based on performance. 

Sophisticated algorithm

Proprietary algorithms based on mathematics, statistics, and machine learning concepts that improve portfolio diversification and protection while delivering strong profits.

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KARA INVESTMENTS UNIQUENESS

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Strong risk-adjusted returns
Profitable in bull and bear markets
Low market correlation