-35.8%
since 12/11/2019
-9.6%
Ø-Perf. per year
-6.0%
Performance (1yr)
10.2%
Volatility (1yr)
-0.5
Return/Risk
Portfolio chart
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Trading Idea
Description : Simple strategy following market reactions to news and events that establish more certainty and investor confidence in a given market area that has been uncertain for a significant period. Tenor : Short term (Intraday - 2 weeks) News research to identify potential targets and events Technical analysis (RSI, CCI, pivot points, moving averages) post initial market reaction to establish entry and exit points. e.g. BREXIT and UK Election Mergers and Aquisitions Regulatory approvals Winter weather correlated equities
Master data
Symbol
WF00SS2019
Date created
12/11/2019
Index level
-
High watermark
64.8