For a final project in a finance class I'm currently taking, we were tasked with building out a portfolio (20-30 equities) in a specific sector (I am doing biotech). As part of the project, we also have to predict how the portfolio will do over a five-year horizon. How would you recommend trying to look at this problem?
Submitted April 21, 2018 at 01:11PM by idealisticmeerkat https://ift.tt/2qNVIjs