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How did the strategies react in crash and crisis situations?
The most important crisis situation within the last year has
been triggered by the second gulf war. All Mini- Future
Portfolios have been surviving this crisis situation rather nicely.
The smaller Portfolios "Mini 5000" and "Safe 50000" did indeed
suffer from small losses within the weeks after the start of the war.
But these losses could be more then compensated shortly after;
moreover, it is questionable, whether they really can be related to the
gulf war at all or not, as they might also be consequences of "non-crisis-related"
market changes. This assumption holds especially, as the size of the
losses has been rather small.
The large Mini-Future Portfolio "Mini 75000" could -
due to the integrated portfolio management strategies -
avoid such losses completely.
How can I invest in Mini-Future Portfolios?
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