Investment Policy (since October 2019):
Darwin RVL is a portfolio using CFDs of stocks indexes on several sets. Our main goal is to give added value to stock markets compare to other alternatives already consolidated such as ETFs or mutual funds. For that reason our intention is to have a positive performance on the long term in any type of markets. You can find more information on this post.
Its main features are:
- Long/Short trading strategy
- Based on breakout volatility systems
- Assets: Nasdaq 100, Cac 40, Dax 30, SP 500 and UK 100
- High timeframes: 1 Hour and 4 Hours
- All trades have Stop Loss