Super Investor vs Portfolio Management Uso & Estadísticas

Are you interested in investing in stocks? Super Investor can help you find the best ones to buy! This app helps you see if big companies, like Berkshire Hathaway and Blackrock, own the stocks you're interested in. It also shows you retail and institutional sentiment about those stocks and short interest (betting that their prices will go down). With this information, you can make smart decisions about your investments! Super Investor can identify a potential short squeeze by comparing institutional ownership, hype and short interest. During GME short squeeze, Fidelity, Vanguard and Scion Asset Management (Michael Burry) were among the largest share holders. It was also the most discussed stock on r/WallStreetBets with bullish sentiment. Finally, short-sellers borrowed most of the outstanding shares. FEATURES: * Analysis of selected stocks (user portfolio) based on their top Institutional and Fund investors. * Number of matches - user stock picks found in institutional/fund investors' portfolios. * Detailed information about institutional/fund investors’ holdings of selected stocks including value, number of shares and portfolio percent based on most recent holdings reports. * Analysis of retail investors’ sentiment. * Analysis of upgrades and downgrades * Analysis of short interest. Download and access all features from all your iOS devices running the app. Note: App price is equal to the value that “Apple’s App Store Matrix” determines is the equivalent of the price in $USD. Terms & Data Privacy: http://ultrajetsoftware.com/UltraJetSuperInvestorTermsAndPrivacy.html
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Need to quickly verify asset allocation results prepared by your students or cross-check outcomes during a meeting? This app is designed for you! - User friendly Portfolio management tool & optimizer (including efficient frontier visualization functionality - for the best view of the chart on an iPhone, please rotate your device to landscape mode) - Very simple to use: no external data to upload, every assumptions are set out manually by the user (everything offline) - Asset Allocation Definition: Manually adjust weight parameters or utilize our Optimizer for automatic adjustments. 4 optimization strategies are available with the possibility of setting constraints (maximum risk, minimum return or fixed individual weights): portfolio return maximization, risk minimization, Sharpe ratio maximization, or risk parity. - You can define your portfolio by adding either individual assets (stocks, bonds, etc.) or asset classes (equities, fixed income, real estate, etc.). - Each asset or asset class is incorporated into the portfolio based on user-defined individual characteristics: weight, risk (standard deviation), and expected return, all provided in decimal format. - Correlation/Covariance matrix can be set out (and updated) manually by the user for each pair of asset through a dedicated entry (use the application either under correlation or covariance input modes) - Asset allocation cases can be stored in your mobile so that you can access it anytime offline, modify/update underlying assumptions, and are listed in a recap table - Export easily your simulations by email (.csv files, containing portfolio/assets data & correlation/covariance matrix, are automatically generated and attached to the email) - New functionalities: ==> Raw Data Import/Export: The "Raw Data Import/Export" feature facilitates the transfer of asset allocation and portfolio cases between users. You can import or export asset allocation data, enabling collaboration among users the app. After importing data on your phone by copying and pasting the received raw data from an email into the dedicated text editor, you can modify the asset allocation and send the updated data back to your collaborator. This enhancement fosters collaboration and exchange of asset allocation simulations among multiple users of the Portfolio Management app. ==> Return Data Statistical Analysis Tool: Our app now includes a statistical analysis tool for return data. You can copy and paste return series for Asset "A" and Asset "B" into the text editor, specifying the desired CSV separator. The tool generates descriptive statistics such as mean and standard deviation for each asset, as well as the correlation and covariance between Asset A and B. Additionally, there's a button to automatically generate random return series for both assets, facilitating quick testing. You can transfer the individual results (mean return & risk) to the main menu to create and include assets with these features in your current allocation. - Quick Start User guide included This app is ideal for: i) Professionals in the portfolio management field seeking rapid definition and/or optimization of asset allocation based on user-defined key assumptions for each individual asset (expected return, standard deviation, weight), as well as inputs for correlation/covariance pairs. ii) Students studying portfolio management or preparing for portfolio management certificates, looking to efficiently test and simulate case studies. iii) Professors teaching portfolio management, whether to illustrate case studies to students or to verify and assess results. **** Once purchased, you have full access to all functionalities offered by the app. There are no in-app purchases or subscriptions. **** **** Enjoy an ad-free experience with our app! We guarantee a seamless experience without any interruptions from advertisements. ****
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Super Investor frente a Portfolio Management: comparación de la clasificación

Comparar la tendencia de clasificación de Super Investor en los últimos 28 días con Portfolio Management

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Comparación de las clasificaciones Super Investor frente a Portfolio Management por países

Comparar la tendencia de clasificación de Super Investor en los últimos 28 días con Portfolio Management

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Super Investor VS.
Portfolio Management

enero 9, 2025