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    Thanks for sharing this analysis. But re your conclusion - haven't you got the y-axis calibration wrong? ie shouldn't you align 0% return on the S&P with a beta of 1. If you do that, then market timing isn't the cause - as the previous graph indicates all the divergence happens in 2004-6 when they have a beta >/= 1 and the S&P is positive.

    So maybe it is collaborative stock picking which is the problem.

    Of course I might be completely wrong

    Cheers Rikki

    Rikki Tahta
    covestor.com

    Apr 06 14:50 pm |Rating: 0 0
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