We were able to beat benchmark returns year after year by using market volatility analysis in order to optimize portfolio exposure and deliver positive returns with minimum variance. After five years of hard work we finally launched our Proprietary Trading Algorithm. Please contact hello@bluevillecapital.com for access to the Blueville Algorithmic Portfolio verified track record.
Last Month:
4.2%
3 Month ROR:
2.69%
Year to Date
4.20%
12 Month ROR
8.15%
Compound ROR
27.83%
Winning Months (%)
63.69%
Total Return
336.28%
Sharpe Ratio
2.20
Sortino Ratio
7.75
Sterling Ratio
1.57
Correlation vs S&P 500
0.07
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