Strategy

The strategy of SIR Betterway is to invest:

  • In various assets, primarily in the Eurostoxx50, Bonds (Bund), Oil and Gold.
  • In very liquid assets.
  • With a holding period of an investment of hours to weeks.
  • With a medium to long term investment horizon.
  • Leveraging only according to a previously achieved yield.
  • Seeking always to preserve capital, especially under conditions of uncertainty in the market.
  • Providing greater certainty and transparency for the client using the Managed Account structure.