MGK tilts heavily toward technology and growth, with higher volatility and a deeper drawdown than VOO. VOO offers broader sector diversification and a much higher dividend yield. MGK has delivered ...
Learn how to calculate the maximum projectile range using Python functions. This tutorial demonstrates step-by-step coding techniques to simulate projectile motion, optimize range, and understand ...
Wall Street has perfected an art form: taking simple investment strategies, wrapping them in complexity, and charging premium fees that retail investors rarely question. Two of my previous Wealth ...
ISCV charges a lower expense ratio, but offers a slightly lower dividend yield than SLYV. ISCV has outperformed SLYV in one-year and five-year total return, with a milder recent drawdown. ISCV holds ...
Beta measures price volatility relative to the S&P 500; beta is calculated from five-year weekly returns. The 1-yr return represents total return over the trailing 12 months. TQQQ charges a marginally ...
Start 2004-08-19 00:00:00 End 2013-03-01 00:00:00 Duration 3116 days 00:00:00 Exposure Time [%] 94.27 Equity Final [$] 68935.12 Equity Peak [$] 68991.22 Return [%] 589.35 Buy & Hold Return [%] 703.46 ...
Start 2004-08-19 00:00:00 End 2013-03-01 00:00:00 Duration 3116 days 00:00:00 Exposure Time [%] 94.27 Equity Final [$] 68935.12 Equity Peak [$] 68991.22 Return [%] 589.35 Buy & Hold Return [%] 703.46 ...
SOXL’s 3x leverage and semiconductor sector focus create far higher risk and volatility than SSO’s broad 2x S&P 500 exposure. SOXL offers a lower expense ratio, but it's suffered a much deeper 5-year ...
Has the bitcoin price truly broken from its historic four-year rhythm, or is global liquidity now dictating the pace of every major cycle? Analyzing BTC Growth Since Cycle Lows, we can see that ...
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