Asset Types:
Alpha MultFct STK (IV)
Asset:
stk
Annualized Return:
10.11
Sharpe Ratio:
0.69
Current Netvalue:
2.38
Alpha MultFct STK (IV) applies the volume-price multi-factor stock selection model, the strategy can identify stocks with high growth potential and volume-price characteristics. Optimizing the investment portfolio through multi-factor models, to achieve stable alpha excess returns.
Alpha MultFct STK (III)
Asset:
stk
Annualized Return:
11.56
Sharpe Ratio:
0.68
Current Netvalue:
2.68
The Top 10 AI Software Stocks to Watch
Alpha MultFct STK (III) applys the volume-price multi-factor stock selection model, the strategy can identify stocks with high growth potential and volume-price characteristics. Optimizing the investment portfolio through multi-factor models, to achieve stable alpha excess returns.
Alpha MultFct STK (II)
Asset:
stk
Annualized Return:
11.46
Sharpe Ratio:
0.76
Current Netvalue:
2.65
Alpha MultFct STK (II) applys the volume-price multi-factor stock selection model, the strategy can identify stocks with high growth potential and volume-price characteristics. Optimizing the investment portfolio through multi-factor models, to achieve stable alpha excess returns.
Alpha MultFct STK (I)
Asset:
stk
Annualized Return:
10.64
Sharpe Ratio:
0.69
Current Netvalue:
2.48
Alpha MultFct STK (I) applys the volume-price multi-factor stock selection model, the strategy can identify stocks with high growth potential and volume-price characteristics. Optimizing the investment portfolio through multi-factor models, to achieve stable alpha excess returns.
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