Your Yova portfolio has an expected return of 6%-7% per year over the long-term.
Based on the history of the relevant stock markets (analysing the last 100 years), a diversified portfolio is expected to return 6-7% per year. As we use a wide and strict diversification approach across the markets of US, EU and CH; we expect your portfolio to move along the overall stock market over the long term.
Please be advised that past performance is not a reliable indicator for future returns.