Empresa
IBM

25 January 2025
The model portfolio's return is +5.55% YTD compared to +4.1% for the S&P500, and +71.33% versus +46.41% for the S&P500 since inception (September 2022).

2025: new ideas and positioning
Much to be thankful for and excitement for what lies ahead

Copper and uranium: the coming divergence (G&R Q324)
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Análisis comentario G&R Q124
Sobre LNG, IA y oferta de gas natural
