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| Frequently Asked Questions Company News Press Releases Links Market Overview updates | Jan 4, 2012 Our managed account gained 0.2% in November, a month when global stock and bond markets fell, due to European liquidity crisis. Program finished positive at 2.55% YTD. YTD performance compares to a drop of 9% in the world stock index and a fall of 16% in the index of big 50 European stock. Our results have been independent of movements in equity and bond markets (no correlation). Jan 3, 2012 Trading Approach Article by Roberto Falzoni in the Market Magazine A disciplined trading approach is recommended to survive in volatile and unpredictable markets, like those of 2011, that were subject to frequent shocks and reversals. Opportunistic trading that is applied to different asset classes shows benefits, over the medium term. Dec 2, 2011 Our managed account gained 1.5% in October and finished positive YTD at 2.4%. Program shows positive results this year that are not correlated with stock markets YTD performance compares to a drop of 9% in the world stock index and a fall of 14% in the index of big 50 European stock. Our team achieved positive results in all markets where they intervened. Nov 4, 2011 Despite volatile conditions, our managed account gained 2.1% in September and finished positive YTD at 0.96%. Our performance in September was not correlated to stock markets as the world stock index lost 9%. On a YTD basis our program is gaining 1% vs a drop of 15% in the world equity index. Our team was positive in all markets where they intervened. Aug 28, 2011 " Доверьте капитал Финансовым Трейдерам " Июль 2011 Статья в Журнале Русская Швейцария автор Дмитрий Спивак " Доверьте капитал Финансовым Трейдерам " - " Trust Your Capital to Financial Traders" July 2011 Article published in Swiss Journal by Dmitry Spivak. В этой статье автор объясняет что времена в которых мы сегодня находимся являются лучшими временами доверить свой капитал Финансовым Трейдерам которые могут зарабатывать деньги как при росте рынков так и при их снижении. Учитывая не стабильное экономическое состояние и не предвидимый разворот событий в странах Европы а также и Соединенных штатов Америки рынки будут продолжать искать направление с увеличенной волатильностью. | ||
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