Empresa
Cosa Resources Corp.

22 March 2025
The model portfolio's return is -0.82% YTD compared to -3.48% for the S&P500, and +67.02% versus +43.03% for the S&P500 since inception (September 2022).

22 Marzo 2025
La rentabilidad de la cartera modelo es de -0.82% YTD vs -3.48% para el S&P500 y del +67.02% vs +43.03% para el S&P500 desde inicio (septiembre 2022).

30 November 2024
The model portfolio's return is +33.83% YTD compared to +24.43% for the S&P500, and +71.82% versus +45.77% for the S&P500 since inception (September 2022)
