News
Our portfolio lost 1.58% over the week
The past week started rather poorly for our American FTinvest 11 portfolio. While the overall American market has begun to recover from the shock of the “12–day war,“ falling oil prices and transportation tariffs have negatively affected our components from the energy and transportation sectors, which dragged the entire index below 760 in the first couple of days.

At the end of the week, however, the situation improved and the index began to recover quickly, returning above 760 and even trying (unsuccessfully) to pass above 770.
As a result, FTinvest 11 showed a decrease of 1.58% over the week; at the same time, the overall American market rose by an average of 3.39%.
On Friday, FTinvest 11 closed at 769.22, while the S&P 500 rose to +223.73% during this period, and the Dow Jones Industrial Average rose to +172.26% since the start of the observation.
Since the beginning of the year, our index has already grown by 5.64%, while the S&P 500 has risen by 4.96%.



