gee guys, all i was looking for here was data model input...

so i could run it thru some proprietary linear simulation algorithms and create a few scenarios for maximum return vs risk analysis...i was certainly willing to share privately, the results of these modeling exercises with those who provided the data...

but since no one here seems to grasp the potential impact that these models could have on their bottom line portfolios, i will let this thread drift down into oblivion, before it is trashed by the usual cast of malcontents...


keep it simple and keep it safe...