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8 June 2021, 09:48

TeleTrade Investment Portfolios Returns Exceed 30%, Beyond Initial Expectations

The International broker TeleTrade presented the results of investment portfolio management over the past 12 months. Low and medium risk portfolios performed above 30% in U.S. Dollars, exceeding initially projected targets.

The profitability of the conservative investment portfolio “TeleTrade Safety” was 38.5% at the end of the year (from June 2020 to May 2021) against 14.1% planned at the launch of the portfolio. The investment portfolio "Perspective" (December 2020 to May 2021) provided a return of 34.93% against planned 33%.

In the case of the conservative investment portfolio “TeleTrade Safety”, the high discrepancy between the planned and achieved returns is explained by the rather vague prospects for the global economic recovery, which were seen in May 2020 during the global lockdowns. Most of the portfolio's instruments purchased on their lows and barely outlined growth in stock and commodity markets. Correct tactical decisions allowed to outpace target indicators by more than twice.

At the same time, the investment portfolio "High Yield" (March to May 2021) performed a loss of 19.97% due to the expected, but not emerged correction in the U.S. stock market. The S&P500 index expected decline was the main condition for achieving goals of this portfolio. However, it did not materialized.

All information about investment portfolios is available on the TeleTrade website, in the archive of the "Investments" section.

The broker will present an updated composition of investment portfolios soon.

Since June 2020, TeleTrade analysts and portfolio managers have been building a line of investment portfolios for three, six and twelve months of maturity, which provide a balanced approach for investors, taking into account investment strategies and risks. Each of the portfolios is balanced taking into account the investment period, risk and expected return.

At the beginning of each month, managers revise portfolio structure by implementing the best investment opportunities, based on an assessment of the market situation as a whole during the month, as well as the prospects for a specific instrument included in the portfolio.

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