Portfolio

Determinant portfolio: situation as of 01.10.2023

Swiss financial markets experienced an unexpected rebound following the SNB’s decision to keep rates unchanged, leading to a significant easing of the Swiss franc against other currencies. The Determinant Portfolio has maintained a slightly better performance than the MSCI Switzerland since its launch, with lower volatility and a better Sharpe ratio.

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Determinant portfolio: situation as of 01.09.2023

Discover the detailed analysis of UBS’s performance following the acquisition of Credit Suisse, with an impressive net profit including a multi-billion dollar windfall. The article also examines trading strategies, including Auto Signal Trading and the performance of adaptive allocation ETFs, while providing an in-depth analysis of performance ratios and their long-term impact.

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Determinant portfolio: situation as of 01.07.2023

The Swiss franc continues its ascent against other currencies, particularly the dollar and the yen, forcing exceptional performances in foreign currencies. The various strategies in the portfolio are showing encouraging results, with in particular good results from the Trading Auto Signal and a structural reorganization of the portfolio into four distinct strategies.

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Determinant portfolio: situation as of 01.05.2023

Analysis of the investment portfolio's performance in April, marked by a striking contrast between the strong rise in the Swiss market and the slight decline in the US stock market. Focus on the impact of currencies and the strategic reorganization of the portfolio, with notable changes in asset management and the abandonment of raw materials.

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