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Investing - Coggle Diagram
Investing
Passive investing
Little to no research
Diversity is important
Doesn't focus on bench mark but mimics it
Long term focus
Efficient Market Hypothesis
Market trade intrinsic value
Market is overall at an equilibrium
Active Investing
Monitoring Prices for buying and selling opportunities
Striving for a benchmark
Wanting to go above the benchmark (Alpha return)
Focus on short term
More volatile, earning more drastic
Research is important
Higher fees
stock doesn't really have equilibrium
Both are okay
Growth stock mutual funds (passive-ish)
Growth and income
Calmest
Big known companies
stable
not exciting
Don't move with drastic changes
Growth Aggressive
Leans more on the active side of investing
more volatile
Lots of movement in price fluctuation
smaller companies such as tech companies
Growth
International
worst performing
companies over seas
global fund is better because it is U.S companies as well as foreign