I started investing more than 10 years ago when i read my first investment book. For the first 2 to 3 years I had very mixed results, some gains and some loses but at the end of each year more or less my portfolio remained roughly the same. It wasn't until i started asking deeper questions as to why the market makes certain moves that i started to see success and make the right decisions. My strategy is as conservative as you can get, by searching for opportunities that have completed a correction and are starting an uptrend. I have extensive experience with options, stocks, and crypto currencies. My trading frequency usually lasts 1 to 3 months depending on performance. I have a strict trailing stop loss set for 8% , and a strict sell rule for 20% if it has taken longer than 8 weeks to get there. In my portfolio of 100k euros, i will not hold more than 4 stocks at once, with no more than 25% in each investment. I am, a firm believer in taking up half positions for a buy, and then assessing its progression before investing the second half. Overall using technical analysis and charting to understand how the psychology of markets work has delivered exponentially better results.

Erfahrung im Handel mit Wertpapieren

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

Alle wikifolios von FancyBear

Status: Publiziert

Trader: FancyBear
Erstellungsdatum 28.11.2017
Performance seit Beginn +3,7 %
Performance 1 Monat -1,1 %
Maximaler Verlust (bisher) -13,2 %
Erstemission -
Performancegebühr 15 %
ISIN -
Vormerkungen 0
Schwerpunkt USA
Mittel- bis langfristig
Das investierte Kapital kann aufgrund der Umrechnung mehrerer Währungen vom tatsächlichen Wert abweichen.