I graduated in Economics and post-graduated in Financial Mathematics with a core focus on Risk Management. My strategies are based on solid systematic rules, with little or no room for discretion. I am generally very risk adverse and focus my research on strategies that can yield stable capital appreciation.
Experience in securities trading
Risk class 1: 1 to 3 years
Risk class 2: 1 to 3 years
Risk class 3: 0 to 1 year
Risk class 4: 1 to 3 years
Risk class 5: 0 to 1 year
All wikifolios of Elumna
The invested capital may differ from the actual value due to the conversion of several currencies.