For the month of March 2018, my account return is -2.81% vs. -2.74% of benchmark SPY. 
My account return is 7.82% vs. 10.35% of benchmark SPY since inception on 06/30/2017.

Received following dividends in December:
QQQ: $0.27655/share

SPY:  $1.097/share


Market volatility is too high, which indicates something big may be happening. Reduce account equity exposure by selling some positions.
Sell 111 shares of EEM (iShares MSCI Emerging Index Fund) at $47.49.
Sell 306 shares of URA (Global X Uranium ETF) at $12.01.
Sell 299 shares of VNM (VANECK VECTORS VIETNAM ETF) at $19.49.
Sell 306 shares of TBF (ProShares Short 20+ Year Treasury) at $22.8.


Sell 150 shares of ASHR (Xtrackers Harvest CSI 300 China A ETF) at 32.64. 
Buy 100 shares of KWEB (KraneShares CSI China Internet ETF) at 67.18.
Buy 250 shares of TBF (ProShares Short 20+ Year Treasury) at 23.47.