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IDTitle of StrategyMarkets TradedInstruments AvailableComplexityBacktest Period SourceBacktest LengthIndicative PerformanceVolatilityMaximum DrawdownSharpe Ratio
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33Post-Earnings Announcement EffectequitiesstocksComplex strategy1987-20041815%   
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656Upgrade your subscription to see this strategy         
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654Upgrade your subscription to see this strategy         
192Upgrade your subscription to see this strategy         
484Upgrade your subscription to see this strategy         
884Upgrade your subscription to see this strategy         
495Upgrade your subscription to see this strategy         
205Upgrade your subscription to see this strategy         
624Upgrade your subscription to see this strategy         
237Dispersion TradingequitiesoptionsVery complex strategy1996-20071215.39%13.86% 0.82
585Upgrade your subscription to see this strategy         
243Upgrade your subscription to see this strategy         
713Synthetic Lending Rates Predict Subsequent Market ReturnequitiesETFsModerately complex strategy2016-2021615.47%19.52%-28.51%0.79
590Upgrade your subscription to see this strategy         

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