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Analysis of selected assets from the Blockchain Infrastructure sector ex-$ETH.
As you can see, we are exposed to lower risks and additional returns compared to OTHERS, ,while using only 50% of the investment amount in this sector.
As you can see, these returns are proportional to the risks, as you can compare the matter and see that the coefficient of variation for the assets selected from this sector is lower than all market indices, meaning that we are exposed to better returns compared to the risks.
As you can also see at the present time, after controlling risks more, only 0.03% of the expected return on the sector’s assets was reduced, but this contributed to reducing the expected risks by 0.65% over the previous structure here!