The Lemvi strategies are socially responsable discretionary and systematic focusing on Crypto and Macro trading, Commodities, Equities and derivatives. It involves mostly crypto currencies, futures, options and CFDs to optimize its trade implementation. It uses a disciplined approach based on long term probabilities with the flexibility to act with immediacy and exploit opportunities and recurrences in financial markets. The target returns are around 15 to 20% per year with a target volatility of around 25% and low correlations to traditional asset classes.