I would try to beat S&P 500 in 2008. The strategy is very very simple, yet it would guarantee me at least a 3-4% outperformance on a total return basis compared to the benchmark.
S&P 500 is already down by about 3.7 % YTD. I just bought some SPY @ 140.77. Will hold untill year end and will outperform te benchmark. Pretty simple, right?
Right, and you didn't get the idea from my Verisimi or Verisi journals??? basicly the same strategy, best for HF managers...
I haven't read these journals before. But thanks for accusing me (stealing a strategy) of something i have never claimed to have done ( inventing a strategy). Good luck to you and your ORIGINAL method.