The main objective of investments undertaken by the Company is to achieve the highest possible rate of return on each transaction as quickly as possible. The diversification profile of the investment portfolio takes into account the return rates correlation. From time to time, depending on the macroeconomic situation, the portfolio may include government bonds and other safe debt instruments in order to balance risk levels and minimize potential losses. STARHEDGE constantly modifies its portfolio to achieve a diversification profile that would ensure highest possible return at an optimum level of safety.