Hi all, I am currently trying to develop a framework for analysing Equity Mutual Funds.
As of now, I’ve narrowed the following metrics that I will be looking at:
- Return Quality
- Relative Safety
- Past Performance
- Value
- Growth
Attached is an image of how I’ll be scoring and going about these metrics.
Would love to know if there are any additions/ changes I should be making to the model.
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