Mixed Quant products are designed for members who expect high returns with lower risks. There are two portfolios -
1. Mixed Quant - Fusion (8:2)
2. Mixed Quant - Sapphire (6:4)
These portfolios allocate member assets proportionally to Fixed Income products and high-return quantitative trading strategies. To achieve stability, while users gain the opportunity to achieve higher returns, the majority of their assets are safely hedged against higher risks.