Caviar is in a unique position to be able to shift funds from crypto-markets to real estate and vise versa in order to change allocation, maximize returns and minimize risk. Caviar’s business model takes a more balanced approach to investing with fast appreciating crypto-assets, and stable income producing real estate, providing a proven systematic method to growth and income and dual market exposure in a single token.
Solution?
Caviar provides investors with the opportunity to diversify their portfolios beyond crypto-currencies and tokens via funds’ exposure to real estate assets, hedging against potential market downturns while maximizing return on investment. Caviar Intelligent Predictive Model allows for stronger predictive power and more effective asset allocation.
Opportunities?
- Profit Sharing
75% of Caviar’s net quarterly profits will be distributed to token holders in the form of ETH via a smart contract. - Value Growth
20% of net quarterly profits will be reinvested back into fund for token value growth. - Token Appreciation
5% of net quarterly profits will be used to buyback and burn Caviar tokens to provide additional liquidity. - Caviar Platform
Earn profit and rewards by participating in crowdfunding projects and Caviar Platform community.
Read more about Caviar Token Economics
Team
What is it for me?
Portfolio
Initial Coin Offering (ICO)
Vision
Marketing
Participate
https://tokensale.caviar.io/