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Why are there different time ranges regarding your performance reporting?

The reason for the different time ranges is that we launched the strategies and final models at different times:
1. The most recent and final generation of our stock market strategy - introducing the "overbought trigger" - was started on 11/18/2016.
2. The updated bond market strategy algorithms were launched on 12/31/2015.
3. We started the publication of our gold risk rating on 04/22/2018. We introduced this risk rating with our 2018/16 weekly report. Before this date, we only published our gold strategy signals.