Wealth management: September, 2016

Rolling 12 months through September, 2016
* Cumulative Return: 14.34%
* Best Return: 7.61% (Oct 2015)
* Worst Return: -1.04% (Mar 2016)

We continue to follow our strategy of keeping high levels of cash:

We have outperformed SP500 in September.

Our risks remain consistently low:

Looking for a portfolio manager? Please, read FAQ first.