Reference no: EM132426407
Question 1.) The ending account balance as of November 16, 2018.
Question 2.) The rate of return for this account during this time period.
Question 3.) How many trades were completed on the account?
Question 4.) Describe your method for stock selection.
Question 5.) Did you sell any shares? If so, how did you decide what stocks to sell?
Question 6.) Compare your return with that of the Standard & Poor's 500 (SPY) index and discuss why your performance was better or worse than the benchmark.
In addition your report should have a reflection section in which you discuss two of the following:
Question 1.) How would you improve your results if you were to participate in another simulation?
Question 2.) How has the simulation changed your knowledge of the stock market?
Question 3.) Evaluate the risk you took in this portfolio. Do you feel it was higher or lower than the Standard &Poor's 500 index? Why?
Question 4.) What did you learn about yourself by taking part of this simulation?
Question 5.) Only for those who completed 25 trades or more during the simulation: How do you think the frequent trading impacted your portfolio results? Did you ever regret a trade you made? If you did, please explain.
Attachment:- trades.rar