Our newsletter is centered around 2 portfolios in which we add 2 positions every month. Over the past 6 years, our European portfolio has beaten the market indices by a significant margin. We managed to add 26,7% return per annum, 21 percentage points more than the STOXX600 (5,6%). The average return per stock was +43% and positions were held for 16 months on average. You can see the full track record of sold positions by clicking here.
71% of the 117 stocks selected for the European portfolio were winners. You can see the CAGR for individual stocks** grouped by range in the chart below.
* Compound Annual Growth Rate over period July 2010 - May 2016.
* We excluded stocks not yet held for 1 year as CAGR for periods shorter than 1yr is not representative.
How should I read this chart?
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