At CLIP, we believe that creating a sustainable long-term portfolio comes with responsibility. Therefore, we strive for consistency and only take a calculated risk. Our rational of choosing assets reflects a profound decision-making process, since we will only invest in securities, whose underlying business model we understand and believe will remain profitable, emphasizing a trading approach on fundamental and chart-technical trends. The decisive factor for the selection should be the respective prevailing market phase. The focus should be on European, US, but also foreign stocks/fixed-income instruments. Depending on the trading approach, the holding period might be of only weeks/months. Losses should be consistently limited, about 1-2% portfolio value per trade is sought. The objective is a stable return in the course of all market phases. One should mainly go long.

Erfahrung im Handel mit Wertpapieren

Risikoklasse 1:  1 bis 3 Jahre
Risikoklasse 2:  1 bis 3 Jahre
Risikoklasse 3:  0 bis 1 Jahre
Risikoklasse 4:  1 bis 3 Jahre
Risikoklasse 5:  0 bis 1 Jahre

Alle wikifolios von CLIP

Status: Publiziert

Trader: CLIP
Erstellungsdatum 27.02.2018
Performance seit Beginn +8,0 %
Performance 1 Monat +3,3 %
Maximaler Verlust (bisher) -7,5 %
Erstemission -
Performancegebühr 5 %
Vormerkungen 1
Das investierte Kapital kann aufgrund der Umrechnung mehrerer Währungen vom tatsächlichen Wert abweichen.