Short

The Virtual Portfolio For the Wolf of my Uni

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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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