Active Management Across Global Opportunity Sets
Investment Strategy
Dex Investment employs an active, multi-asset investment approach designed to achieve consistent, risk-adjusted performance across different market environments. Strategies are continuously reviewed and adapted while maintaining strict risk discipline.
Portfolio Diversification
40–45%
Global Indices (CFDs)
25–30%
Cryptocurrencies (CFDs)
25–30%
Global Equities (CFDs)
Allocations may vary depending on volatility, correlation, and liquidity.
Risk Management
Risk management is embedded into every stage of the investment process. Risk is evaluated at both trade and portfolio levels.
Predefined risk-per-trade limits
Portfolio-level exposure caps
Drawdown monitoring
Continuous position supervision
Client Commitment
Consultation
Risk Profiling
Account Setup
Placement
Investment Profit Calculator
This calculator provides an illustrative estimate of potential returns based on capital, investment duration, and assumed average monthly performance.
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Disclaimer:
This calculator is provided for illustrative purposes only. Results shown are estimates and do not represent actual or future performance. Dex Investment does not guarantee returns, and all investments involve risk.
This calculator is provided for illustrative purposes only. Results shown are estimates and do not represent actual or future performance. Dex Investment does not guarantee returns, and all investments involve risk.
