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Subject:  Re: My Retirement Portfolio Date:  10/27/2000  4:10 PM
Author:  middlearth Number:  5430 of 20599

>>The MI stock portfolio looks like this:
25% Key100 (1-4) annual
25% PEG (1-4) semi-annual
25% RS13/RS26 Overlap (1-3) quarterly
25% PEG13/PEGRSW Overlap (1-3) monthly
Gross CAGR=60 (Net CAGR=55) GSD=29 Sharp Ratio=1.08 TER=1.61 (Net TER=1.29) The portfolio has 9 to 14 stocks depending on overlaps
between screens.<<

Could you define these terms for those of us that are less "acronym-friendly", please? Thanks.
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