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There is probably an error in the choice of stocks because the choice is made on stocks of which we know the good behavior
for the period 2015/01 2020/01 the proposed portfolio (AAPL, AMD, AMZN, FB, MSFT, NFLX, NVDA, TSLA) with equal weights and buy and hold has a performance of approximately 1000% !!.
Eiten GA returns 450%. Not so good.
If you randomly choose stocks from 2015, the result is not good.
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