Asset Management
Global Macro - Level 1
Portfolio Manager Portfolio Manager 0%
ROI 0%

Your ability to spot market trends and understand how breaking news influences prices. Measuring your discipline, patience and asset allocation in trying to maximise profits for your client

PR 0%

Measuring your skill in responding to changes in portfolio composition due to market movement. Did you monitor and tweak portfolio weightings to stay within asset allocation limits

BSRM 0%

BSRM is measured using two components. 1) Your discipline in staying within your stop loss limits and 2) Your Sharpe Ratio measuring the magnitude of risk taken to generate your returns

RA 0%

RA measures your risk appetite and your level of conviction on your trade ideas. Your ability to get your client’s funds invested rather than suffering from indecision and sitting on too much cash

Hedge Fund
Financials
Total Funds $0
Total PnL $0
Return on Initial Funds 0%
Sharpe Ratio 0
Broker Dealing
CHAT & VOICE TRADES 0
QUOTE TRADES 0
EXCHANGE TRADES 0
CMM Trades 0