“If you'd invested in in this company ten years ago, you'd be 7000% richer. They have amazing financials, so their return on equity, return on invested capital is above 50%, their margins are I think their net margin was around 25%, EBITDA 40%, combined with low debt to equity of around 10%.”
No settled horizons yet — outcomes appear at 30/90/365 days.
Risk: max drawdown 0.0%
· volatility – ann.
· Sharpe-proxy –