Invest in the world’s finest wines and watch your portfolio grow
Fine wine has established itself as a high-performing asset class, consistently providing substantial returns over the past few decades. With a compound annual growth rate (CAGR) of 10% over the last 30 years, fine wine has proven to be has proven to be one of the best-performing assets. The investment's tangible nature gives it intrinsic value, making it a reliable medium to long-term investment option.
Fine wine investment has become increasingly popular as an alternative asset class, offering distinct advantages compared to traditional investments like stocks, bonds, and real estate. When compared to other commodities and financial markets, fine wine has shown competitive returns with lower volatility.
The correlation matrix shows how each index or asset is related to the others. Values close to 1 indicate a strong positive correlation, while values close to -1 indicate a strong negative correlation. The volatility (annualized standard deviation of returns) indicates the risk associated with each index or asset.