Wealth management: April, 2017

Rolling 12 months through April, 2017

  • Cumulative Return: 6.82%
  • Best Return: 3.88% (Jun 2016)
  • Worst Return: -5.58% (Feb 2017)

We continue to have a relatively high exposure to the market and negative beta with an expectation to close the positions soon.

We are still recovering from the February drawdown

Our risks remain high: