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ETF Rebalancing Strategy Performance: QQQ, KODEX200, Channel-Based Volatility Rebalancing
ETF Rebalancing Strategy Performance: QQQ, KODEX200, Channel-Based Volatility RebalancingDetailed strategy explanation video : https://youtu.be/oW2fOvRSsGUThis post compares the long-term performance and risk-adjusted returns of Channel-Based Volatility Rebalancing strategy with standard ETF investments such as NASDAQ QQQ and KODEX200 (KOSPI). The analysis reflects FX impact for Korean investors..
- CBVR 전략성과
- · 2025. 6. 5.