Hey, new to trading. Constructed an optimized portfolio with the entire S&P500 using past year price data LONG only, and got: 2.11% Altria Group, Inc. 9.65% AutoZone, Inc. 8.36% Biogen Idec Inc, 3.89% Cabot Oil & Gas 12.95% Celgene Corporation 8.30% Consolidated Edis 5.79% Goodrich Corpporation 8.01% Kraft Foods Inc. 3.62% Lorillard, Inc. 10.54% McDonals Corporation 6.06% OReilly Automoti 7.06% Reynolds American 4.16% Ross Stores Inc. 6.74% Southern Company 1.48% Hershey Company Capital market analysis shows portfolio doing *very* well. Any comments? Software on sky-ia.com , they have free evaluation. Thanks! All comments appreciated.