Martin Stewart Henshaw
Martin Stewart Henshaw @hech123

Tuottavuus
Kaikki

-2.45%2026
2026
22.81%2025
2025
33.63%2024
2024
18.15%2023
2023
-25.84%2022
2022
86.52%2021
2021
255.78%2020
2020
41.39%2019
2019
-59.32%2018
2018
13.57%2017
2017
255.8%0%-255.8%
Martin Stewart Henshaw
The portfolios main holding is still $IB01.L (iShares $ Treasury Bond 0-1yr UCITS ETF) and other low risk assets. I do think the next few months are going to be pivotal as to how this year ends. Many assets have been on a real down run already. It is a good job we sold the positions we were holding... Näytä enemmän Käännä
Martin Stewart Henshaw
Are we going to see a market crash? A lot of sectors do look clearly over valued and there are many signs that the market could correct. Government debt and bond rates have been rising steadily over the last couple of years. Many parts of the $SPX500 have already been losing ground. There are still... Näytä enemmän Käännä
Martin Stewart Henshaw
My Main holding is still $IB01.L (iShares $ Treasury Bond 0-1yr UCITS ETF) which are short term treasuries. I think many areas of the market are struggling and also over valued so I am trading very cautiously at the moment. I think now is a time to reserve capital and see how things progress Käännä
Ei sijoitusneuvontaa. Kirjoittajalla voi olla taloudellisia intressejä mainituissa instrumenteissa.
undefined logo
IB01.L
iShares $ Treasury Bond 0-1yr UCITS ETF
121.48
0.0400 (0.03%)
Martin Stewart Henshaw
I am still trading quite cautiously at the moment until we get a clearer picture of exactly how long things will continue in Iran. I own a few $OIL positions and this should open a lot higher on Monday which will put us back in the green I think. I think we have done really well to be even so far this... Näytä enemmän Käännä
undefined logo
OIL
Oil (Non Expiry)
80.67
-1.10 (-1.35%)
Martin Stewart Henshaw
MARKET CRASHING? Uncertain times don’t call for panic — they call for discipline. When markets feel unpredictable, the priority shifts from chasing gains to protecting what you’ve already built. Capital preservation isn’t passive; it’s a strategy. It means being selective, managing risk, keeping liquidity... Näytä enemmän Käännä
Martin Stewart Henshaw
Markets have been really bad for investors but I have navigated this tricky time well so far. Opened up an $MSTR (Strategy Inc) short which is working well currently, this will hedge some of the downside. Also $OIL positions have been performing well. This has led to us still having profit this year... Näytä enemmän Käännä
Martin Stewart Henshaw
Portfolio update - Markets are going through quite a turbulent time at the moment with the various wars around the world, primarily in Ukraine and Iran. Oil prices have increased significantly and we have benefitted off this with our holdings of $GUSH (Direxion Daily S&P Oil & Gas Exp. & Prod. Bull... Näytä enemmän Käännä
Martin Stewart Henshaw
We are still going strong! Many traders are having a total nightmare vs the $SPX500 this year but I have adjusted and we seem to still be making reasonable profits when compared to the market. I have been telling people for months about how we are creating returns on a risk level of 3. Now look at... Näytä enemmän Käännä
Martin Stewart Henshaw
What Ai says about my trading - Performance & Strategy Overview $Hech123 is known for a "cautious growth" strategy, often balancing aggressive assets with significant hedges (like $GOLD $SILVER and short-term treasury bonds). Risk Profile: He consistently maintains a Risk Score of 3,... Näytä enemmän Käännä
Martin Stewart Henshaw
$MSTR (Strategy Inc) Probably nothing to worry about. Current share price around $126 😱😱😱 Käännä
Ei sijoitusneuvontaa. Kirjoittajalla voi olla taloudellisia intressejä mainituissa instrumenteissa.

Tietoa Martin Stewart Henshaw
Iso-Britannia
Strategia: Momentum

24% Average Return . Momentum style looking for opportunities in different sectors.
Näytä pitkä esittely Käännä
533 Kopioijat
247.2K Seuraajat