Mixed Quant products are for members who expect high returns with lower risks. Featuring proportional allocation of the user's assets to Fixed Income and various trading strategies; meanwhile, these portfolios allocate member assets proportionally to Fixed Income products and high-return quantitative trading strategies. High Risk, High Return.
To achieve stability, a reasonable allocation of Bincentive strategies allows for losses in high reward operations to be balanced by Fixed Income to reduce risk. (while users gain the opportunity to achieve higher returns, the majority of their assets are safely hedged against higher risks.)