BIGBIT EQUITY PORTFOLIO

A portfolio consisting of international equities (mainly US and European). A team of traders with twenty years of experience in the stock markets. Initial reference capital of EUR 100,000. The portfolio will be able to invest in up to a maximum of 15 securities or ETFs without ever using leverage. The portfolio can also go short but only through an ETF without leverage. Information is given on the purchase price and quantity of securities to be purchased, possible stop loss, and when the trader decides to exit. High risk  Yield target 15%.

BIGBIT ASSET ALLOCATION

A portfolio consisting of various financial assets (shares, bonds, commodities, etc.). The proportion of the portfolio to be allocated to the various assets will be decisive for performance. Information is given on the purchase price and quantity of securities to be purchased, possible stop loss, and when the trader decides to exit. It is followed directly by Paolo Barrai. Initial reference capital EUR 100,000. Medium risk.

BIGBIT COMMODITIES

The portfolio identifies the best ETCs in the commodities market. Initial reference capital EUR 100,000. Information is given on the purchase price and quantity of securities to be purchased, possible stop loss, and when the trader decides to exit. Performance Target of the portfolio 10% per year. Medium High Risk

BIGBIT CRYPTO GOLD

It's a new portfolio that selects the best cryptocurrencies on the market.  Mainly focused on the most capitalized cryptocurrencies. Performance Target of the portfolio 20% per year. High Risk.

BIGBIT DYNAMIC

Swing-trading portfolio monitored by pro trader Federico Izzi @ZioRomolo aimed at short-medium term trades

Qualche numero relativo ai servizi BIGBIT

0
Utenti iscritti
ai servizi
0
Segnali di trading
inviati agli iscritti
0
Messaggi disponibili
nel forum

Copyright © 2017 Cryptolab - CHE-437.543.722 - email: info@bigbit.club  Privacy Policy