Strategies

Five asset classes. One disciplined approach.

The five markets we run on your behalf. Pick the mix that suits you, or start with our balanced default — and we'll handle the day-to-day.

Foreign Exchange

The deepest and most liquid market in the world. We trade major currency pairs — EUR/USD, GBP/USD, USD/JPY and more — using a research-led approach that thrives on volatility without taking outsized risk.

EUR/USDGBP/USDUSD/JPYAUD/USD

Cryptocurrency

Disciplined exposure to Bitcoin, Ethereum and large-cap digital assets. We treat crypto as a separately-managed sleeve with strict position sizing and stop-loss discipline — never the entire portfolio.

BTCETHLarge-cap alts

Equities

Large-cap US and global stocks. Selections are research-driven and focused on quality companies with durable earnings — the bedrock of any serious long-term allocation.

US large capsGlobal blue chips

Indices

Benchmark exposure across S&P 500, Nasdaq, FTSE, DAX and other major indices. Provides broad-market participation alongside our active selection.

S&P 500NasdaqFTSEDAX

Commodities

Gold, silver, crude oil and other physical commodities. A hedge against currency debasement and a diversifier that historically performs in different market regimes.

GoldSilverCrude oil

Apex Balanced — our default

20% across each of the five.

Most investors start with our balanced preset: equal weight across FX, crypto, equities, indices and commodities. It’s a no-strong-opinions allocation that captures the diversification benefit of running five uncorrelated sleeves at once. You can override it any time before your contract activates — and revisit with us at renewal.

Pick your mix