Our Unique Approach to Risk Management

At Every Finance, we are not just another DeFi platform. What sets us apart is our unique approach to risk management. We understand that risk is an inherent part of investing, but we also believe that it can be strategically managed to optimize returns. Here’s how we do it:

  1. Risk-Adjusted Strategies βš™οΈ

    Our products - ALPHA, BETA and GAMMA- each represent a different risk profile and provide various levels of market exposure. These risk-adjusted strategies allow you to choose a dETF that aligns with your risk tolerance and investment goals.

  2. Automated Rebalancing πŸ”„

    Our advanced algorithm constantly monitors the performance of assets within each product and automatically rebalances the portfolio to maintain the targeted risk level. This ensures your investment stays in line with your chosen risk profile, without the need for you to constantly monitor and adjust your positions.

  3. Portfolio Diversification 🌐

    We strongly believe in the power of diversification. Our PARITY product provides exposure to a wide range of assets across different risk profiles, further reducing the impact of any single asset's adverse performance on your overall portfolio.

  4. Security-First Approach πŸ›‘οΈ

    We place the utmost importance on the security of your assets. Our contracts have undergone rigorous security audits, and we have implemented strict internal security measures to ensure the integrity and safety of your investments.

Our approach to risk management is built on the belief that everyone should have access to the benefits of DeFi investing, without having to constantly worry about the potential risks. With Every Finance, you can rest assured knowing that your investments are being managed in a way that is consistent with your risk preferences and investment goals.

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