Risk Profile Survey By January 15, 2020January 23, 2020Investment Process Welcome to your Risk Profile Name Email 1. WITHDRAW PERIOD Over 8 years Between 3 and 5 years Lower than 1 year Between 5 and 8 years Between 1 and 3 years 2. AVERAGE YEAR RISK RETURN Year 1: 12%; Year 2: 36%; Year 3: -12% Year 1: 20%; Year 2: 16%; Year 3: -1% Year 1: 25%; Year 2: 22%; Year 3: -10% Year 1: 13%; Year 2: 41%; Year 3: -17% Year 1: 25%; Year 2: 18%; Year 3: -7% 3. INVESTMENT GOAL Income Not Losing Growth 4. ASSETS EXPERIENCE Bonds, Shares, Derivatives & Currency Bonds, Shares & Derivatives Bonds, Shares, Derivatives, Currency & Commodities Bonds & Shares Bonds 5. THREE YEARS AVERAGE RETURN CYCLE B C E A D 6. FIVE YEARS AVERAGE RETURN CYCLE D A E B C 7. FINANCIAL KNOWLEDGE None Good Limited Excelent Very Good 8. ACTION OF 25% LOSS IN 3 MONTHS Sell Part Sell 100% Buy 100% Do Nothing Buy Part 9. INVESTMENT PLANNING Lower than 1 year Between 5 and 8 years Over 8 years Between 3 and 5 years Between 1 and 3 years 10. CONTINUOUS NEGATIVE PERIODS 2 Years 4 Years 3 Years 1 Year 5 Years 11 out of 10 Please fill in the comment box below. Time is Up! Time's up