Portfolio Management

Our portfolio management is mainly working with aggressive and volatile stocks. We are looking for stocks with abnormal value, due to extraordinary unusual conditions. Both negative and positive. We are generally doing daily trades operating CFD's.

We are working with two investment models. Revshare and flat fee.

The flat fee is 2,5% yearly but at least 10.000 EUR.

The rev-share model is 50/50 - you put in the money, we do the work.

All our contracts are minimum 12 months binding.

Investors are advised on their portfolio performance with our quarterly reports.