Blog intended to share true quant wealth management decision tools for those who want to control their risk, avoid losses and preserve capital in an ex ante basis. We target to minimize downside risk and, hopefully, prevent crashes up to a certain degree. Also, our comments will try to denoise the market chatter as much as possible
Wednesday, May 2, 2012
#4 Edition Annex: SP500 Quant Market Report, May 2nd 2012
After almost screwing up we get long at 1398 with stop at 1372.8. Not much to earn though. Regards.
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