PORTFOLIO

Keller Capital Portfolio

Below you will find our asset portfolio which includes the most recent profit/loss YTD returns. Please refer to the top right corner of the image to view the exact time and date for the most accurate return calculations.
As always, each fund is based on their ability or inability to out perform the S&P 500 better know as “The Street”. The average return for the S&P 500 over the past 30 years has been around %10 annually since its inception back in 1928. Adjusted for inflation the ” Real Return” it is closer to 7% annually.
For the exact gains of Keller Capital INC YTD returns please CLICK HERE
For the exact gains of the S&P 500 YTD returns please  CLICK HERE
Keller Capital- 
Fund Inception: 2017
Average monthly returns: 7%-10%
Fund Manager(s) President, Michael Keller and Vice President, Alphonso Hamilton II
Investment Vehicle: Forex Market
Type of fund: Private
Risk: Conservative