Short Stocks Long Metals, PanicMode
-6.08% 1.35%Last Trading Day
Last 12M
Risk
Short Stocks Long Metals
United Kingdom
The PanicMode portfolio consists of contracts for difference (CFDs) on the following assets: Short SPX500 (SPX500) Short GER30 (GER30) Short JPN 225 (JPN225) Long Silver (XAG) Long Gold (XAU) USDOLLAR Index (USDOLLAR) 20+ Year Trsy Bond Ishares (TLT) VIX Short-Term Futures ETN Ipath (VXX) The weights of the assets may change at any time by eToro at the sole discretion of the Portfolio Manager. PanicMode Portfolio is designed by eToro and managed by eToro; you should familiarize yourself with all risk disclosures and warnings. CFD trading carries risk to your capital, and losses can exceed deposits. ... Show More
0.00 -
This Year’s Performance. Risk Score Considers Last 7D.
Short Stocks Long Metals @PanicMode
Turn on notifications
Flag as spam
Dear Investor, As part of this CopyFund's investment methodology, it is subject to re-balancing periodically by eToro's Investment Committee. This process may require the closure of some or all of the positions within the CopyFund’s portfolio and the reopening of new positions. Kindly note that no action is required on your behalf. This action will be performed in this portfolio during 2nd/3rd January 2018. The new allocation and asset weight will be automatically adjusted in your portfolio. If you wish to further diversify your portfolio you may wish to add the new CRISPR CopyFund to your watchlist, which will be open to investment on January 8th. We wish you a profitable year ahead. eToro Investment Committee <a href="/people/etoroteam" class="e-link">@eToroTeam</a> ... Show More