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The Virtual Portfolio For the Wolf of my Uni

I'm currently short all these stocks for my virtual portfolio. The standard deviation in the portfolio is very high and the stocks are highly correlated. I could go for a lower correlated portfolio and diversify more, but I want to maximize the potential expected return as much as possible, since it's a short term game. The strategy is primarily based around the bearish Cypher Pattern due to its statistics.
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這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。