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How Do You Handle Performance Differences Between Actual Returns and Model Portfolio Returns?
Small case by nature has to give you a price. at the second time that 120 grows only 230 or 140 so the return depends on how much money he puts in when and all that. Small cases are one of the ways of taking exposure right now it is not like an ETF is replicating the index without a cost. There's always going to be some cost associated with replication in any of the form factors across the globe. The costs are also very personal because you are replicating the strategy of your choice at a time you are in.