SharpTraders
Edited
πŸ“Œ Important Update for Investors πŸ“Œ πŸ“£ In recent periods of heightened market volatility, @SharpTraders risk management strategy has been proven successful. The resulting cash holdings from stop-loss events were reallocated into short-duration U.S. Treasury ETFs $IB01.L (iShares $ Treasury Bond 0-1yr UCITS ETF) , providing investors with a stable yield until the next scheduled quarterly portfolio rebalance. βš–οΈ The upcoming quarterly portfolio rebalance will take place in the next few days. It will introduce 20 new diversified traders into the portfolio. This process ensures that investments remain aligned with the established portfolio methodology. 🎯 The @SharpTraders portfolio employs a systematic algorithm to select traders based on several criteria: consistent quarterly profitability, active trading history, low-risk scores ranging from 2 to 7, and a preference for manual trading strategies. Each selected trader is assigned a 5% copy stop-loss to mitigate potential drawdowns. 🎯 Key Details: ▫️ Automatic Rebalance: No action is required from investors; the process is fully automated. ▫️ Timeline: The rebalance will be completed over the next few days. ▫️ Transparency: Updated allocations will be available for review once the rebalance is finalized.
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