Passive investing in bitcoin and ether
Build a balanced crypto portfolio with a fixed allocation to bitcoin and ether through the BTC/ETH Balancer. Invest in the two most established crypto assets with a managed, passive strategy without actively monitoring the market.
The BTC/ETH Balancer is a passive investment strategy with a fixed allocation of 80% bitcoin and 20% ether. The strategy tracks the market performance of both assets within a carefully managed risk–return framework. This allows you to benefit from the strength of bitcoin and ether without having to make investment decisions yourself.
The strategy is build around balance:
A fixed 80/20 allocation (bitcoin/ether)
This allocation offers a responsible mix of risk and return.
Automatic monthly rebalancing
Price fluctuations can temporarily shift the allocation. Once a month, the portfolio is automatically rebalanced back to 80/20. This prevents overexposure to a single asset and ensures a stable risk–return profile.
Passive execution with no market timing
Transactions occur only to restore the target allocation, not to outperform the market.
You invest in a portfolio with a fixed allocation, giving you full visibility into your exposure and helping you maintain a responsible risk–return balance.
No market analysis, no manual trades, and no emotional decision-making. Rebalancing is fully automated. Ideal for investors who believe in the long-term potential of bitcoin and ether but prefer not to trade actively.
The strategy only trades when needed to restore the 80/20 allocation. This results in lower costs compared to actively managed strategies.
Please note: Investing in crypto-assets involves risks. You may lose all or a part of your investment. Please be aware of this and stay informed about the risks.
The BTC/ETH Balancer is suitable for investors who:
Both private and corporate investors can participate from €10,000 or the equivalent in crypto assets.
Market fluctuations may alter the fixed 80/20 allocation. Once a month, the portfolio is automatically rebalanced back to 80% bitcoin and 20% ether. This helps limit transaction costs and maintain a stable risk profile.
New deposits are allocated according to the allocation at that moment. At the end of the month, the full portfolio is rebalanced again to 80% bitcoin and 20% ether.
Bitcoin and ether are the most established crypto assets. They provide the best balance of stability and growth potential without the higher risks associated with smaller altcoins.
You do not need to make decisions, execute trades, or manage emotions. Everything is automated, helping you avoid emotional trading and maintain discipline.
The BTC/ETH Balancer follows a fixed allocation and is not actively managed based on market conditions. This leads to fewer transactions and therefore lower costs. Active strategies aim to outperform the market; this strategy tracks the market.
Unlike active strategies, the BTC/ETH Balancer never reallocates to euros during a downturn: you remain fully invested in bitcoin and ether at all times.
See our fee schedule for a complete overview of all costs.
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