Been investing for 10 years and achieving 20% CAGR.
Long-term and value based.
2 portfolios: Alpha and beta.
Alpha: medium risk, high return. Re-balancing portfolio every year.
Beta: low risk, medium return. Leave and forget it. In one hour, you will automate this portfolio for life.
MSc ...
moreBeen investing for 10 years and achieving 20% CAGR.
Long-term and value based.
2 portfolios: Alpha and beta.
Alpha: medium risk, high return. Re-balancing portfolio every year.
Beta: low risk, medium return. Leave and forget it. In one hour, you will automate this portfolio for life.
MSc economics
Lived in Brazil, Germany, Belgium & UK
Awarded Research on China and Brazil
Experience in tech and FMCG (Currently also working for Mondelez, London)
Research: “The influence of the Chinese economical growth in the composition of the Brazilian balance trade throughout the period of 2000-2013.”
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