Two weeks ago we covered part 2 of the “Beat the Market” series, in that part we built several model portfolios in an attempt to leverage data to generate alpha.
Lookling forward to the 30th and listing of stocks. Your rational and approach is similar to mine. I will also run a portfolio with the 20 issues you come up with but will let the dividends reinvest and we can compare the results at the 1 year time frame.
If a standard drip was an option on M1 finance I think that would be my preferred choice. I don’t expect that our results will be much different. This strategy will likely have a pretty low dividend yield.
Lookling forward to the 30th and listing of stocks. Your rational and approach is similar to mine. I will also run a portfolio with the 20 issues you come up with but will let the dividends reinvest and we can compare the results at the 1 year time frame.
If a standard drip was an option on M1 finance I think that would be my preferred choice. I don’t expect that our results will be much different. This strategy will likely have a pretty low dividend yield.
Always like your YouTube videos and now enjoying these articles. Keep up the good work 👍
Thank you, it makes me happy to hear people enjoy the content!