Perfomance in CHF

All fees (Schlossberg&Co and third party fees) are included. Graph shows an investment of CHF 100 over time. Benchmark is a portfolio consisting of a global allocation to 60% equities and 40% bonds rebalanced monthly.
Returns
Schlossberg&Co
Benchmark
2019 return
29.90%
22.32%
2018 return
-6.55%
-2.61%
2017 return
166.57%
7.26%
2016 return
19.46%
8.20%
Since 1991 per year
17.36%
6.92%
Metrics
Sharpe Ratio What is this?
0.54
0.47
Max. Drawdown What is this?
-25.23%
-43.76%

Disclaimer: Past performance is not indicative of future performance. The numbers shown are for illustrative purposes only, and are only meant to show the potential performance based on past returns with Schlossberg&Co’s investment models. Schlossberg&Co does not guarantee similar results, does not guarantee any particular rate of return, and does not guarantee the effectiveness of its models preventing any losses in accounts. All investing involves risk, including the loss of principal.

InvestTechnologyResearchSchlossberg&CoFor InstitutionsValuesAccount
InvestTechnologyResearchSB & InstitutionsWhy. What. How.VoiceJob Opportunities