Choosing the right strategy and the right underlying asset is crucial for profit or loss
Information about our own investments
We continuously publish data on our own current and recent investments in the various asset classes. The charts illustrate the success of our strategies.
Our aim is to achieve optimum performance in all asset classes. We focus on achieving a balance between Increasing Value and security.
Prop trading Current own investments
The strategy of these investments, which aim to outperform the three indices EuroStoxx 50, MSCI World and S&P 500 , is adjusted on an ongoing basis.
Performance: Updated monthly in the chart below
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Indices
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FX trading over 24 months
In this portfolio the trades were carried out with the EUR/USD pair
Performance: 141% or 71% p.a.
Crypto trading over 24 months
In this portfolio the trades were carried out with the crypto coin USDT as the underlying asset, enabling us to avoid / exploit the considerable fluctuation of cryptocurrencies.
Performance: 214% or 107% p.a.
Crypto trading 10 weeks
We have deliberately used Bitcoin (BTC) as the underlying asset in this portfolio. The aim was to increase the number of units in the portfolio, regardless of the fluctuation of Bitcoin’s value. Despite a 33.36% fall in the value of Bitcoin, the position was increased in terms of units.
Performance: Plus 1.63% in unit sales
Strategy and initial value determine profit or loss
In crypto trading too it is vital to choose the right strategy for your own needs. You have to ask yourself whether you want to increase the number of “coins” in your portfolio (such as Bitcoin, Ethereum, etc.) regardless of their performance, or whether you wish to engage in crypto trading with “FIAT currencies” and generate returns in those currencies.
Our strategies
We have opted for an aggressive strategy with a high “stop loss” for all the investments mentioned above. On the one hand, we wanted to test how this affects potential profits, and on the other we wanted to push the trading software to its limits.
We deliberately chose this strategy and minimised our risk to the set “stop-loss mark” while maximising profit potential.
Analyses
The results of our investments are carefully analysed and evaluated in order to continuously optimise our trading strategies.
FiducInvest Holding Pte. Ltd. 10 Marina Boulevard Level 39, #39-00 Marina Bay Financial Centre 018983 Singapore
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FiducInvest Holding Pte. Ltd. 10 Marina Boulevard Level 39, #39-00 Marina Bay Financial Centre 018983 Singapore
You are currently viewing a placeholder content from Google Maps. To access the actual content, click the button below. Please note that doing so will share data with third-party providers.