Wifey

Wifey

12-03-2022

09:25

1. Ivy Portfolio Timing The Ivy Portfolio is designed to mimic the investment strategies of Harvard and Yale endowments. The timing version uses a simple moving average. 20% equal weight in VTI VEU VNQ AGG DBC Ann Ret: 7.5%, Risk 6.5%, Sharpe ratio: 0.8, Max Drawdown: -13.1%


Follow us on Twitter

to be informed of the latest developments and updates!


You can easily use to @tivitikothread bot for create more readable thread!
Donate 💲

You can keep this app free of charge by supporting 😊

for server charges...