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Unformatted text preview: If I would have applied
this approach I believe I would have been more successful instead of sitting with a -19.83% HPR
because I am waiting for two stocks to increase in their return so I can sell them and not loose
such a big profit. With trading almost over I am afraid I will not be able to hold these stocks long
enough for them to come back to the rate I bought them at, causing me a big deficit.
During week five my weekly return, of 0.6203%, was very close to the S&P 500 return,
of 0.8661%, which makes sense because that was also the week I started to increase in the
rankings and have a stronger portfo...
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This document was uploaded on 03/05/2014 for the course FMIS 3644 at University of Minnesota Duluth.
- Spring '14