Oppo portfolio basis.
tae last edited by
Based on the seven responses on the post yesterday, I found this out:
The rest of the choices were left below the minimum in order to even compete, the most disliked being Nissan. In reality it should be SAIC rather than BMW, but I couldn't find the ticker on Excel's stockhistory function so... I had to drop it.
Here's the theoretical performance of that portfolio since the beginning of 2021 vs an ETF following the car industry:
Given it was just seven votes, I don't know if there's a lot of interest in this, but I already have the spreadsheet to handle it, so if anyone wants to participate, it's still open. For now I'll just keep this original portfolio and see how well it does before any rebalances.