FIC Core Portfolio Performance – As of end of Q4 2017

By | January 1, 2018
Year Main Fund (Money Weighted Return, Pre-tax) S&P 500 Total Return MSCI China Index
2016 (Feb 3) 16.7% 20.1% 16.9%
2017 35.1% 21.8% 55.6%
NOTE:
1. Past results do not indicate future performance. This is NOT an effort to raise funds nor this is an effort to provide investment advice in any form.
2. Minimum Account size requirement is $1M USD. Lock-out Period is 5-Year.
3. Performance of the account and Benchmark Indices are all provided by Interactive Brokers, without any modifications or adjustments

Note: Past performance is not an indicator for future performance. There is no guaranty that such performance will be achieved in future.

Leave a Reply