The survey was conducted regarding the investor’s investment portfolios
Fukumori Group, a Commodity Trading Advisor (CTA) that specializes in alternative investment strategies, managed futures, commodities, and other diversified investment strategies, today announced the finding of a recent survey conducted by Fukumori Group, it was found out that the high net worth investors were highly optimistic about the coming years.
Investing money is a tricky game, you are required to hold a handle on the current market and how it will diversely change in the future, said a senior official from the company. The high net worth individuals who were surveyed think that technology sector will play a crucial role in how their investment portfolios go. Nine out of ten or 93% of the high net worth investors believe that their investment portfolio is going to remain constant in the coming years, but who knows when the market will change its course, so they are in doubt also.
On the other hand, 50% of the high net worth investors are expecting an improvement in their investment portfolios. Optimism was the key findings of this survey. Other than that, when surveyed regarding the upcoming year’s investment climate, 53% of the population believes that the investment climate is going to remain same as the previous years while 22% believes that it will only worsen and 23% says that it can go either way.
Favored Factors of the High Net Worth Investors – Pharmaceuticals, Technology, and Biotechnology:
87% voted for the technology sector, 71% votes for the pharmaceuticals sector, 75% voted for the biotech sector, 65% voted for the healthcare sector and 69% voted for the energy sector.
Least Favored Factors of the High Net Worth Investors
Only 26% of the population voted for the consumer discretionary, 29% voted for the aerospace industry, 33% voted for the tourism sector, 32% voted for the entertainment industry and 31% voted for the insurance.
About Fukumori Group
Fukumori Group is a Commodity Trading Advisor (CTA) that specializes in alternative investment strategies, managed futures, commodities, and other diversified investment strategies. The firm’s Products and Strategies are quantitative and systematic, based on sound investment and risk management principles. The strategies have been vigorously tested and are continuously being monitored, researched, and incrementally improved. The Executive Team includes investment professionals with a combined experience and expertise of almost 40 years. They are passionate about what they do and share the belief and understanding that sound business practices must be based on trust, morality and ethical behavior.