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Note: Please reference the investments term pdf. for details about trading overv
Note: Please reference the investments term pdf. for details about trading overview, trading strategy, trading goals, trading analysis etc. Please do not plagiarise or use AI to complete the project.
The investment simulation project requires extensive understanding of both conceptual knowledge and
application of real investments. This project requires team work doing stock trading simulation with
Investopedia Stock Simulator. Students are only allowed to trade stocks. And students are required to
include at least 6 stocks in their portfolio with a minimum of 6 trades and a minimum trading period of 10
weeks. (Your group can divide the $$ among group members to trade) Each group needs to register only
one account with Investopedia Stock Simulator (http://www.investopedia.com/simulator/home.aspx).
After registration, each group searches for the game USF2023Fall Investments through
https://www.investopedia.com/simulator/game/listgames.aspx, and join the game.
Game name: USF2023Fall Investments
Game period: August 22 – November 24, 2023
Starting fund: $1,000,000
Commission: None.
Margin interest: None.
Trading volume restriction: None.
Diversification restriction: None.
Minimum trades requirement: 6 Minimum
trading period: 10 weeks minimum
Use Excel spreadsheet we created for the last project as an example on how to compute Return and SD
Complete the Appendix as stated below in 3-4 pages
Appendix. Attach a table showing your weekly profits and losses, any calculations supporting trading strategies you used, graphical depictions of your portfolio positions, data and information resources, etc
Compute Portfolio’s Daily ReturnUse Yahoo! Finance to download the daily return of each of our stocks
Then, compute the daily return of our portfolio using Excel spreadsheetMake sure to only use the stocks invested in that period
Put these numbers into a graph with time as one axis and daily return as the other
(Weight x Price) + (Weight x Price)…. = Total
(Next Day Return – Total) / Total = Portfolio’s Daily Return
Compute Portfolio’s Standard DeviationDo the same process as above but use the formula in Excel for Standard Deviation
Compare Portfolio’s Return & Risk to the MarkeT
Reference investment period image for stocks invested in specific period
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