wolf![]() Veteran ![]() ![]() ![]() Posts: 159 Joined: 4/16/2011 Location: Germany ![]() | Hello I have some Problems to find the correct Settings for a Buy&Hold Portfolio Simulation based on Jim Dean Buy&Hold Strategy to compare /evaluate the results with any other strategy Assumptions made scenario 1 Stock eg. KO Coca Cola Buy: 01.01.2004 Hold:21.02.2014 Assumptions made secenario 2 Index eg. S&P500 Buy: 01.01.2004 Hold:21.02.2014 What are the correct settings I have to do to get all the usually provided Portfolio Simulation Data (Information) in cluding Chart. Thank you in advance Wolfgang [Edited by wolf on 2/23/2014 1:40 AM] |