
PORTFOLIOMATH.COM
PortfolioMath WeeklyPortMath is a unique approach to investing in the stock market based on entirely new mathematics.
http://www.portfoliomath.com/
PortMath is a unique approach to investing in the stock market based on entirely new mathematics.
http://www.portfoliomath.com/
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PortfolioMath Weekly | portfoliomath.com Reviews
https://portfoliomath.com
PortMath is a unique approach to investing in the stock market based on entirely new mathematics.
What is the NIC?
http://www.portfoliomath.com/NIC.html
What is the NIC? How has the NIC been useful in the past? For each half year interval of time from 1991 to 2012, the average NYSE return and the NIC were calculated and then plotted on the graph below. The graph shows that major drops of the NYSE coincided with small values of the NIC. This relationship is particularly interesting because trend information is discarded before the NIC is calculated. How has the NIC changed from 1990 to 2012? How is the NIC calculated?
PortMath Services
http://www.portfoliomath.com/Services.html
Here are some of the services that PortMath will be offering:. Balance your portfolio using proven new methods. PortMath can adjust your portfolio to improve the relationship between past and future returns and to moderate the effects of downturns. Learn more about upgrading your portfolio. Or see the details in the technical paper. This service is available for companies to assess now and will be available to individuals soon. Determine if your stocks are out of step with the current market. To be betwe...
Assess Your Stocks With PortMath
http://www.portfoliomath.com/Assess.html
How does PortMath assess stocks? PortMath uses a new number called. To measure how closely a stock is aligned with the market as a whole. Synergy looks behind trends to reveal previously unidentified patterns in the market like the ones considered below. How have returns and Synergy been connected historically? Despite the fact that stock trends are not included in the Synergy calculation, there is often a remarkable connection between the return of a stock and its Synergy as shown in the next two graphs.
PortfolioMath Weekly
http://www.portfoliomath.com/index.html
Read the recent article. About Caliber and Affinity in Modern Trader. NYSE Update For The Week Of August 29th, 2016. The Caliber calculated for each 60 day period over the past year. The correlation between a stock's return and it's Affinity. The correlation between stock returns and stock Affinities calculated for each 60 day period over the past year. The information on this website:. Is for the purposes of assessment only. Does not in any way constitute investment advice.
Upgrade Your Portfolio
http://www.portfoliomath.com/Upgrade.html
How can PortMath improve your portfolio's profile? PortMath can increase your confidence that your investment portfolio will continue to gain value in the future. One way PortMath does this is to use new mathematics to adjust the amount of money you put into each stock in your portfolio. With this adjustment, your portfolio will become more like portfolios that have been successful in the past according to the evidence we consider next. And the challenge is to create portfolios with as little negative sk...
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Weekly WRIPP Update
http://www.wripp.com/index.html
An Experimental Measure of Stock Market Behavior. For a new approach to investing. 60-day WRIPP for the S&P. On average in the past, the S&P fell after the current 60-day WRIPP value reached the critical value shown here. 1-Year WRIPP for the S&P. 5-Year WRIPP for the S&P. Plot of the 60-day S&P WRIPP over the last year.
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Portfolio Masters | Just another WordPress site
March 3, 2015. Welcome to WordPress. This is your first post. Edit or delete it, then start blogging! Just another WordPress site. Proudly powered by WordPress.
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De snelste manier voor de juiste match in creatief werk. Ga direct met elkaar in contact! Grafisch vormgever en webdesign. Match mij met portfolio’s van een:. Capelle aan den IJssel. Grafisch vormgever en webdesign. Grafisch vormgever en webdesign. Student • amberveltmaat. Webdesigner • jochemtew. Overig • sintlucas. Student • rickmajoor. Kunstenaar • robotklauw. Overig • niks. Docent • collin. Overig • erikwagemans. Fotograaf • iphoto.
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PortfolioMath Weekly
About Caliber and Affinity in Modern Trader. Warning: As shown on the graph below, the Caliber has fallen to a remarkably low level which could mean this market has become extremely unstable. S&P 500 Update For The Week Of April 9th 2018. The Caliber calculated for each 60 day period over the past year. The correlation between a stock's return and it's Affinity. The correlation between stock returns and stock Affinities calculated for each 60 day period over the past year. The information on this website:.
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Portfolio Matrix
If you're like many advisory houses, your investment advisors are either looking up key calculations or hand-calculating portfolio analytics when the data provider doesn't do it. Although your firm may have access to Bloomberg or other high-end data sources, you have not been able to import all the relevant data into your reporting system. This costs man power, for a lower relative return. Why pay for data that can only be accessed manually? The engine that powers PortfolioMatrix™ is capable of usi...
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Portfolio Marketing & Communications | London – Marketing and communications
Successful marketing and communications in finance and technology. Getting technology out of the driving seat. January 19, 2018. It is very difficult to determine what some software vendors actually do these days. Many software firms with propositions based around emerging technologies are so vague in their techno-babble [.]. Winds of change will still be blowing in 2017. February 17, 2017. Active Share and the cost of trading. February 17, 2017. February 17, 2017. June 13, 2016. May 8, 2016. As the FCA’...
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