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70-30 Portfolio 1800

Historical study
Rebalance every 12 mo2 componentsStocks 1800
Simulated since 1800

Every rule visible

The whole strategy, in the open.

A strategy is a portfolio of models. The rules at both levels are the ones the backtest above runs on.

70-30 Portfolio 1800Rebalance every 12 mo
Open in the app
Allocation across models
Stocks
70%
Bonds
30%
Stocks
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up
Bonds
Securities1
Max positions10
Stop lossNot set up
Take profitNot set up

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Fincanva provides no financial advice. Backtests show what would have happened — not what will.