Wealth management: November, 2016

Rolling 12 months through November, 2016
* Cumulative Return: 9.48%
* Best Return: 3.88% (Jun 2016)
* Worst Return: -1.04% (Mar 2016)

We are having a relatively high exposure to the market and negative beta. According to the backtest we can remain exposed for another month.

We have failed to outperform SP500 in November.

Our risks remain consistently low:

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