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Subject: A Trading Game | Date: 11/1/2018 3:40 PM | |
Author: Arindam | Number: 3905 of 4217 | |
Years ago, there was a value manager who ran 33, equally-weighted positions and was always fully invested. To buy something, he had to sell something. Borrowing on that idea, someone --whose name doesn't matter-- recently rolled out a S/M cap growth fund. Due to hot-housing before launch and the fact of a bit of cash due to having only 32 positions, the current weights aren't quite 33.3% each. But they're close enough. So, this becomes the question: "How much out-performance is possible if the fund's holdings are trading on their individual merits, given that the sponsors of the fund are notoriously bad at market timing?" --------------------------------------- 1 AAXN 2.39% 61.32 2 AKCA 2.23% 23.18 3 ALRM 2.44% 45.35 4 BEAT 2.50% 61.69 5 CLSD 1.42% 6.09 6 EDIT 1.42% 27.26 7 EVBG 3.93% 51.98 8 FOXF 2.22% 63.76 9 GMED 2.61% 53.97 10 HQY 2.99% 94.67 11 INGN 2.67% 198.15 12 IONS 3.03% 51.86 13 IRTC 2.25% 82.14 14 JBT 2.89% 90.42 15 JLL 3.85% 137.58 16 LASR 5.03% 18.82 17 LSTR 2.80% 102.64 18 MGEN 1.20% 4.58 19 NMRK 4.04% 10.07 20 NUVA 2.72% 57.17 21 ONCE 2.59% 47.66 22 PCTY 4.76% 66.29 23 PEN 2.81% 141.02 24 PRLB 2.60% 123.61 25 QTWO 2.94% 3.23 26 SHAK 3.53% 54.91 27 SMAR 2.88% 24.81 28 STAG 2.92% 26.42 29 TDOC 4.75% 69.4 30 TREX 3.48% 64.56 31 WSO 4.34% 150.47 32 ZUO 2.85% 20.56 Cash 4.94% 100.02% --------------------------------------- If the link is a typical chart, beating those fools will be like shooting fish in a barrel. http://schrts.co/Y9hpqF |
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