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Stock market in the second quarter of 2017

analytics
14 April 2017 , 16:47

The following portfolio consists of US companies that show a positive financial performance and high profitability of their shares. It is worth noting that in order to diversify the portfolio in the planning process we analyzed 4 sectors: 

Diversification by sector makes it possible to manage the risks associated with the fundamental impacts of an industry more flexibly . This also makes the portfolio balanced and resilient to the sectorial risks of the economy.

On the basis of statistical information, a number of indicators were developed that form an overall assessment of the selected portfolio (average daily return, correlation, variance, VaR, β).

In order to further explore the analysis, as well as the entry point to the position, you can see full details in the personal account of our TSI Trading Pro platform.

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