Smart Portfolio Management Simplified

If you want control be DIFferent and choose the portfolio that best adjust to your risk profile.

Try it now

1.
How much Money do you want to invest?
$
2.
What % of your assets does this represents?
3.
What level of risk do you want to take?
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Paulo Pinto

Paulo Pinto

Capturing ''Beta''

Strategic asset allocation based on precious metals and Emerging markets

38.82%
0,-3.62,-6.78,0.26,-0.76,2.29,-0.47,-8.67,-11.8,-4.35,-12.45,-14.73,-0.59,19.3,23.73,31.41,29.62,25.62,23.83
365 Days
Performance
Investments have risk
Risk 2
0.98
365 Days
Sharpe Ratio
1% Fixed fee
10% Perf fee
$25,000 min
Paulo Pinto

Paulo Pinto

Saving Plan

The plan let's you set a wealth goal. You determine the growth rate

0.79%
0,2.14,5.14,5.55,7.94,7.5,15.4,26.34,20.95,15.02,7.69,11.69,10.59,-1.53,4.66,-1.29,0.37,1.46,11.84
365 Days
Performance
Investments have risk
Risk 2
-0.02
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$10,000 min
Tom Dorsey

Tom Dorsey

DWA Germany Model

Technical Analysis,Relative Strength and Matrix Based

1.57%
365 Days
Performance
Investments have risk
Risk 2
-1.40
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$25,000 min
Tom Dorsey

Tom Dorsey

DWA Global Technical Leaders Portfolio

Technical Analysis,Relative Strength and Matrix Based

-7.72%
0,-0.06,-2.93,-9.55,-11,-11.09,-9.11,-8.8,-8.69,-8.46,-7.69,-6.76,-5.93,-5.84,-6.55,-7.1,-7.69,-9.26,-8.43
365 Days
Performance
Investments have risk
Risk 2
-0.84
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$20,000 min
Tom Dorsey

Tom Dorsey

DWA Hong Kong Model

Technical Analysis,Relative Strength and Matrix Based

-1.03%
365 Days
Performance
Investments have risk
Risk 2
0.09
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$25,000 min
Tom Dorsey

Tom Dorsey

DWA London Model

Technical Analysis,Relative Strength and Matrix Based

24.25%
365 Days
Performance
Investments have risk
Risk 2
-0.51
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$25,000 min
Tom Dorsey

Tom Dorsey

Power Shares Commodity ETF Model

Technical Analysis,Relative Strength and Matrix Based

-6.43%
0,-4.92,-1.5,-2.21,1.89,1.15,-1.85,-1.4,-1.22,-5.22,-2.68,-4.37,-5.65,-12.84,-12.44,-14.36,-13.05,-8.24,-6.43
365 Days
Performance
Investments have risk
Risk 2
-0.60
365 Days
Sharpe Ratio
2% Fixed fee
0% Perf fee
$10,000 min
Dif Broker: Best Online Broker, Western Europe.

Portfolio Management Contact

 

 

 

Portfolio Management at DIF Broker is totally transparent allowing each and every investor to choose his portfolio manager and view his portfolio performance and risk so it’s easy to find the one that adjust to your goals.

The range of strategies on offer and the net results they yield are large enough to adjust to your risk tolerance.

You just need to study the track record of each portfolio manager, study the risk score that has been assigned to each portfolio according to the products traded and the diversification of the portfolio along with the volatility.

Portfolio Management at DIF empowers you to choose between yield income to growth or speculation. Although past performance is no guarantee of future results the range of yields allows you to make informed decisions on such challenging environment.

We know how risky it is playing the markets we want you to be aware of this risk so we have created a risk score in order for you to take informed decisions.

 

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