InvControl

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Monitored: 1987 day(s) since 01-11-2013
Updated: 02/14/2013 22:14
Site features: SSL Whois DDOS 
NOT PAYING
HYIP invcontrol screenshot home page
InvControl screenshot actual 11-01-13
Deposit min/max: $10 / $100.000
Profit: 127-195% after 1-3 days
277-367% after 5-7 days
500-1100% after 10-20 days!
Withdrawal: within 24 hours
Referral: 3%
Our investment: $100
daily payout: $70 calendar
ROI: in profit
Details:
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The latest technology and financial engineering developments in the field of financial mathematics allowed us to develop a new algorithm for management of assets in the securities market, which is aimed at forming a portfolio so as to maximally protect the investor from unpredicted market movements. Including in the portfolio the shares of reliable world manufacturers in combination with the use of derivatives (options) on the basis of the latest achievements of mathematical analysis - is the basis of this strategy.

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Support page: https://invcontrol.com/index.php?a=support
E-mail:  invcontrol.com@gmail.com
Phone:  phone 
The analytics given below gives visual image of the correlation ratio between deposits to interest payouts and profit earned, as well as the dates and amounts of dividends payments.
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Below we quote some information from the site of their business principles and history.
OVERVIEW:
The philosophy of the strategy.
The latest technology and financial engineering developments in the field of financial mathematics allowed us to develop a new algorithm for management of assets in the securities market, which is aimed at forming a portfolio so as to maximally protect the investor from unpredicted market movements.

A key aspect.
Including in the portfolio the shares of reliable world manufacturers in combination with the use of derivatives (options) on the basis of the latest achievements of mathematical analysis - is the basis of this strategy.

For Whom is this strategy.
This strategy is for those who do not like making bank deposits. Investors who, on the one hand, want to minimize investment risks, and on the other - are willing to participate in global stock market movements.

Brief description.
The essence of the strategy is to reduce the risk as much as possible with the possibility, in the event of a favorable situation in the market, of its profitability, exceeding bank deposit rates.

The method of portfolio formation.
The portfolio consists of two investment components: a large portion of funds is invested in fixed income instruments, particularly in the shares of the leading international manufacturers, the reliability of which is confirmed by the highest quotation list. The smaller portion is transferred to financial derivatives.
It is the use of options that allows you to orient the portfolio not only for growth, but also on the decline in the market. Option position is formed in the direction of the most likely development of market trends in the coming quarter.

Portfolio monitoring.
Changing the structure of the portfolio on a quarterly basis based on the analysis of the current market situation.
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