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Swiss's investment returns are a result
of its disciplined approach to investing and risk management. The structure of the fund's portfolio and the investment strategy
is specifically designed to meet institutional and private investors need for a steady and predictable stream of income.
The
combination of hedging techniques and proprietary selection methods provide stable and steady returns outperforming all major
stock market, peer indices and major development projects over a 3, 6, 9, 12, 15, 18, 21 and 24 months period. The portfolio's
broad diversification decreases risk and volatility in the portfolio.
The draw down periods never exceeds 9 per cent
(peak-bottom) and any losses incurred are recovered within a 2-4 weeks. These performance characteristics reflect the risk
adverse posture by the fund and our goal to achieve stable, above average returns with little downside risk.
At
average, the funds generate a 20% return per 30 trading days.
You can reach me by e-mail
at:
joniswisscash@hotmail.com
Or you can get in touch with me at the following phone number:
Phone: 0198599914
Saving for Your Future.
Thank you for visiting!
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