


Above is a hypothetical portfolio mix taken from the Investor Report since May 2005. It shows that the Investor report would have returned around 70% up to August 2008.
The report contains analysis of 2 stocks every week, some of which are re-visits of current stocks in the portfolios . The past performance figures on this page and in the associated attachments have been prepared with reference to the ASIC guide on the use of past performance in promotional material (July 2003) and IFSA standards no.6 & no.10. If you believe that any ommissions have been made then please contact us.
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