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Medium-Risk Financial Pyramid Model

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placeEG home_workTélétravail assignmentCDD publicOffre agrégée · EG

eventPubliée le 25 sept. 2026 · verifiedNous avons confirmé le 25 sept. 2026 qu'elle est toujours active

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US$ 30 – US$ 250 par projet

À propos de l'offre

I’m putting together a clear, actionable financial pyramid that concentrates exclusively on medium-risk investment strategies. The goal is to show how capital should cascade through the pyramid’s tiers, balancing growth potential with prudent risk control. You’ll map out each layer—from the foundation up—explaining the purpose of the tier, typical instruments that belong there, and the recommended percentage allocation. Think of it as a ready-to-use framework a private investor could adopt straight away. To make the model fully practical, I’ll need: • A concise written blueprint describing the rationale for every tier • An accompanying spreadsheet (Excel or Google Sheets) with editable allocation fields and auto-calculated projections • A simple visual diagram that illustrates the pyramid structure at a glance Acceptance criteria: the allocations must stay within medium-risk parameters, clearly show expected return ranges, and be easy enough for a non-professional to update as market conditions change. Once delivered, I can plug in my own figures and see instantly how adjustments ripple through the pyramid.

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