US Long Short Performance Update

2 Dec 2019
This is a monthly update of our US Long/Short Strategy. All performance information is taken from a live model account that follows all advice as per the strategy but doesn't include brokerage. As this is a US strategy, returns are based on US dollar returns and do not assume any hedging of the currency. Those who hedge out currency exposure will need to account for that separately.

Rolling Returns

One MonthTwelve MonthsSince Inception (p.a.)
US Long/Short Strategy-0.64%-15.85%-19.84%

Annual Returns

20182019 YTD
US Long/Short Strategy6.67%-24.85%

Last Updated: 01 December 2019

Important Notice:

Performance data shown represents past performance. Past performance is not a guarantee of future performance. Investing and trading carry financial risk, when judging performance please consider the different types of investments and levels of risk associated.

In our calculation, we are using $11USD minimum per trade as cost of trading.  Depending on the product and the provider you use your actual trading costs can be higher or lower than this.  Please check your trading costs with your provider.

CFDs are leveraged products. Trading CFDs carries significant risk and is not suitable for all investors. You may lose more than you invest, and you do not own, or have any interest in, the underlining asset. Please make sure you fully understand the risks involved before entering any transaction.



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