Optimal Sector Allocation - Automated Buy-Sell-Cash Strategy
Performances of the model portfolios

Live Performances

Below you see the performances of all portfolios live.

  • Each portfolio is compared with his stock market index.
  • When applicable, you select locale currency/Euro because the difference can be enormous.
    The stock index New York, for example, got a nice performance in 2017.  However, if you visualize the result in Euro, then the performance is much less.
    While the portfolio still keeps showing a great return during the same period!

Also best verify using longer periods because by doing so you’ll see how portfolios are doing during when markets go down.  An interesting sample is the stock market of Athens (Greece).
Switch the period to ten years.  Do you see how the stock market is going down? And how is the portfolio acting? (green line)? Indeed, the portfolio is doing extremely well during the same period!

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