Canadian Portfolio Manager has VGRO return on average 9.34% over the last 20 years - MER 0.25%
Buy triggered on move above $25.70
Buy $25.91, Stop $25.66, Target = $26.91
Shares = 2000, Cost $51,840
Risk $500, Profit $2000
Risk Reward = 4/1
Return = 3.8%
10 ema $26.06
20 ema $29.92
50 ema $25.76
The Canadian Portfolio ZAG, VCN, XAW returns 9.33% over 20 years - MER 0.15%
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