In Times of Economic Uncertainty Konzortia Capital Provides an Option for Diversification

In recent days, many experts and risk rating agencies have expressed concern about a new recession that could take place through the first semester of 2021. Factors such as a new strain of the coronavirus and the oversupply of capital caused by central bank monetary issues could lead to a new valley after the recovery experienced by the markets thorough the end of 2020.

In a context such as this, it becomes even more important for investors to keep their assets diverse, assessing and managing risk in the most efficient possible manner. Luckily, Konzortia Capital maintains its commitment to provide an asset that consolidates itself as a perfect option for diversification, always with high projections for growth and dividends regardless of the state of the stock markets, as well as a clear exit strategy.

The stock markets have the advantage of providing investors with very liquid assets, but that also leads to them being highly volatile. They’re largely driven by reaction to generalized perceptions, making them highly uncertain, especially in times like the ones we’re currently experiencing. Konzortia Capital offers its equity as a new asset class that was created to avoid these uncertainties. This asset will be traded within a secondary market for liquid stock-like assets, using distributed ledger technologies to make each transaction fast and secure, without the need of intermediaries.

Investors who invest in this new asset class will have a stake in three potential unicorn companies, which are all aimed at revolutionizing the financial markets. These are, the fully globalized online bank SBank, the borderless private equity platform InvestHub, and the brokerage and wealth management platform Capitalista. In this sense, Konzortia Capital is in and of itself an asset that grants diversification to portfolios, with very high potential for growth dividend yields.

The problems currently faced by the global financial markets go beyond the contingencies of global occurrences. An uncertain and largely exclusionary financial market is also largely fragile and unstable. These problems, however, can be tackled through the use of innovative financial technologies that apply first principle thinking to understand the financial service industry in an entirely new way.

This is what Konzortia Capital is all about. We want to create a fully globalized free market financial system that is able to include all actors, and eliminates the necessity of intermediation for financial transactions, connecting investors and companies of all sizes from all around the world. To find out more about this world-changing investment opportunity, we invite you to visit our website, and subscribe to our newsletter to get exclusive information about the state of the company and the current global markets.

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