Million Dollar Trader Anton Kreil makes his trading portfolio public

(NOTE: Online Publishers may make enquiries about carrying Anton Kreil’s trading data on the contacts below. The Global Monthly Report is published at on the second business day of each month. A free sample of this report is available at the following address:

Anton Kreil, the portfolio manager in the BBC programme that let eight members of the public trade $1m (£620,000) and run their own hedge fund, is now publishing his trading positions in his ‘Global Monthly Report’.

Until now Mr Kreil’s report has only been available to friends and high net worth individuals. In each month’s report Mr Kreil gives a breakdown of everything that’s happening in the world from the viewpoint of a professional trader, starting at a Macroeconomic level. This section covers the United States, Europe and China. Mr Kreil also gives his update on global asset classes covering Equities, Currencies, Commodities and Bonds.

However, the most exciting part of the report is the second half. Kreil systematically goes through all the positions he currently has on in his own portfolio and all the reasons why he has the positions on. Mr Kreil says his approach to trading is uncomplicated and straight forward.

“The Macroeconomic environment lets me know which way the wind is blowing. I then spend my life hunting for the best longs and shorts globally, across all asset classes, waiting for the market to serve me up the opportunities”. Kreil started writing the report in March this year, in response to his friends pressuring him to publish his portfolio. Since inception, 75% of his subscribers are profitable. There have been some pretty solid calls, historically. In April and May, Kreil predicted the GDP slowdown in the United States and China and went short Copper mining stocks globally.

He was also short Semiconductor stocks in May and June before they warned on profits. What is refreshing is that Mr Kreil doesn’t profess to be a ‘Super Trader’. Subscribers to his report will notice that the trades he gets wrong, he gets rid of quickly and that he tends towards trades that have a high probability of making 10-20% within a few months.

Notes to Editors:

1/. Anton Kreil runs the Institute of Trading and Portfolio Management offering world class research to members from Trading and Portfolio Management Professionals. Global Monthly Report analysis covers all the major trading and investment opportunities that are occurring in Equities, Currencies and Commodities globally. The Institute’s Global Energy, Industrial Metals & Mining Monthly Report covers, Macroeconomics, Equities and Commodities, with specific focus on opportunities in the Energy, Industrial Metals and Mining sectors.

2/. Anton Kreil studied Economics at Manchester University before working at JP Morgan, Lehman Brothers and Goldman Sachs, trading Equities, Currencies, Commodities, Rates, CFD, ETF, ETC, Spread Bet, Futures.

He gives regular seminars to professional traders and investors in London, and internationally.

The latest seminars are listed, here:

Anton Kreil is available for interview, for more information or to make a request, contact: Richard Powell

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