Halogen Capital's B2B2C Model: Multi-Asset Portfolios for All Investors (2026)

Halogen Capital's B2B2C Investment Strategy: A Game-Changer for Digital Asset Management

In the rapidly evolving world of digital assets, Halogen Capital is making waves with its innovative B2B2C investment solution, Halogen Partner Portfolios. This cutting-edge platform is set to revolutionize the way financial advisers and their clients navigate the complex landscape of emerging asset classes.

A Digital Suite for the Modern Advisor

Halogen Partner Portfolios is a comprehensive digital suite designed to empower financial planners, corporate unit trust advisers (CUTAs), and appointed marketing representatives. By offering institutional-grade, multi-asset strategies, it bridges the gap between complex investment opportunities and everyday clients. This approach is particularly appealing as interest in tokenized assets and cryptocurrencies continues to grow, demanding more sophisticated guidance from financial advisers.

Streamlining Operations and Enhancing Client Trust

One of the key advantages of Halogen Partner Portfolios is its ability to streamline operations for financial advisers. Instead of handling trades and market tracking manually, advisers can now focus on what they do best: understanding their clients' needs and building strong relationships. Halogen Capital takes care of the heavy lifting, including allocation setting, ongoing monitoring, exposure management, and portfolio rebalancing, ensuring that clients' assets are managed professionally and efficiently.

Tailored Portfolios for Different Risk Profiles

The platform offers three distinct portfolios, each catering to specific investor needs and risk tolerances:

  • Conservative Portfolio: Designed for capital preservation, this portfolio features a 1%-5% crypto allocation, Malaysian income funds (80%), global equities (15%), and gold (2%). It aims to provide stable yields with minimal price fluctuation, targeting an annual return of 5%-6%.

  • Balanced Portfolio: Tailored for mid-career professionals, this portfolio combines a 5%-10% crypto allocation with fixed income funds (50%), equities (39%), and gold (4%). It seeks diversified wealth growth, targeting an annual return of 6%-10%.

  • Growth Portfolio: Aimed at higher-conviction investors, this portfolio pairs a 10%-15% crypto allocation with global and US equities (63% combined), domestic bonds (20%), and gold (6%). It targets long-term capital appreciation with an annual return of 10%-15%.

Controlling Crypto Exposure

Liew Ooi Hann, founder and CEO of Halogen Capital, emphasizes the importance of controlled crypto exposure. He states, 'Digital assets belong in a modern portfolio, but with the right allocation. Each Halogen Core Portfolio caps crypto at a level matched to the client's risk profile, ensuring deliberate and controlled exposure rather than speculative ventures.'

Empowering the B2B2C Advisory Ecosystem

Halogen Partner Portfolios is specifically designed to cater to the needs of the B2B2C advisory ecosystem. It provides CUTAs and financial advisers with a comprehensive digital infrastructure, including custom branding, end-to-end digital onboarding, flexible commercial structures, and unified reporting. This empowers advisers to offer their clients a seamless and professional investment experience.

In conclusion, Halogen Capital's B2B2C investment solution, Halogen Partner Portfolios, is a game-changer in the digital asset management space. By combining institutional-grade strategies with a user-friendly platform, it empowers financial advisers to meet the growing demand for guidance in emerging asset classes. This innovative approach is set to shape the future of digital wealth management, offering clients a more accessible and professionally managed way to invest in the digital economy.

Halogen Capital's B2B2C Model: Multi-Asset Portfolios for All Investors (2026)

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