Part 2 Optimizes the portfolio based on the EV NPV, Sharp Ratio and Maximizing the P10. Compares the results and the portfolio composition of multiple ETFs. Excel model used is available at https://1drv.ms/x/s!AgtEj5D79IYqgctBj... or contact me at Brian@theputts.com
Portfolio Optimization to Minimze Loss with SIPmath Resample - Part 2 - YouTube | |
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Science & Technology | Upload TimePublished on 22 Oct 2016 |
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