ATHINA Capital's products

Our three Products

Athina is investing in 3 main products:
Currency Trading with a leverage Bourse Index product based upon the Guggenheim model and growth by private placement before IPO in selected quality start-ups.

The annual expected return over a 12 month cycle is indicatively 13-18%.

Other general Information

ALLOCATION:
The capital allocated is diversified between the three components described below, which are reallocated over time and based upon trend and market conditions.

OVERALL STRATEGY
Focus on preservation of capital but higher-than-average return, using leverage element in combination with investment in specially targeted growth companies.

RISK LEVEL
The risk level is balanced, aiming towards creating immediate small profit to the portfolio, and then to avoid negative returns through controlled risk and stop-loss trading. The use of diversification of products in different asset classes and with diverse indication system, further balances the risk elements.

INSTRUMENT
Investment in Athina is made through ISIN registered shares.

CUSTODIAN BANK
Payment for shares in Athina will be made to Bank of New York or Barclay’s bank.