Performance 0% Return All
0% Return
-2.32%2025
2025
26.37%2024
2024
37.23%2023
2023
-25.62%2022
2022
10.65%2021
2021
42.79%2020
2020
21.65%2019
2019
42.8%0%-42.8%
Return YTD -2.32%
Return 2Y 69.39%
Avg. Risk Score (last 12M)
4
Profitable Weeks 56.14%
Top
2 of 5

NikosKatsikanis
5 days ago
4 replies

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About ArtenieRomania
About Artenie
RomaniaLong-term investor focused on Tech, Gold & Healthcare. Copy for Steady Growth & Smart Risk
Show Full Bio Strategy: Diversifed ETF
41 Copiers
1.2K Followers
The portfolio is heavily concentrated in QQQ, XLV, and GLD, comprising a significant portion of the total allocation. This concentration could indicate a focus on technology, healthcare, and gold-related assets. The portfolio may benefit from further diversification to potentially reduce risk.
Top Traded
QQQ Invesco QQQ 0.33%
GLD SPDR Gold -0.80%
XLV The Health Care Select Sector SPDR Fund -0.28%
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