ADJUSTIBLE PERFORMANCE/RISK CalculatION TOOL

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      Key notes:

      • Edit the BLUE CELLS below, according to your preferences
      • While this tool can improve accuracy of performance expectations, individual account results vary
      • This tool is intended to illustrate performance and risk considerations, based upon live-traded past performance, relative to:
        • Your chosen investment capital
        • Your chosen risk/return multiplier (the default is 1, being equal to the master account)
        • Your overall investment portfolio

           

      Important: While the above calculations are based upon live-traded, third-party-verified figures, past performance is not an assurance of future returns. Furthermore, additional measures may be employed as part of the Managed Strategy Portfolio. Such measures are in the interest of long-term safety and client peace-of-mind, though may reduce overall growth in exchange for enhanced risk-protection. For example, as discussed in relevant presentations/recordings, the total raw performance figure would be projected to be lower (conservatively calculated at 5% lower), after all such aforementioned measures and others are taken into consideration. Such risk controls are tailorable and adjustable, on an individual-client/account basis, according to the client's account-size and risk preferences.

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