1) Can momentum exist?
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6) How big could x reasonably be?
Well say x=80%. The S&P was up ~16% in 2020. That would predict +13% in 2021.
So if you could borrow USD @ << 13% and use it to buy S&P, that would be a good trade. Well, ignoring risk...
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7) But the real risk here isn't that huge. S&P volatility is about 15-20%. If you could borrow USD @ 1%, make 16% in EV, and have a risk standard deviation of 15%, then...
your mean outcome is +12%, your stdev is 15% (per year).
That's pretty good for just being long!
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