๐ Portfolio Diversification Game ๐
Select 5 stocks for your portfolio (hover over each stock to view its past returns, risk, and industry):
Walmart ๐ช
Industry: Retail Past Returns: 7% Risk: Low
Nvidia ๐
Industry: Technology Past Returns: 30% Risk: High
Tesla ๐
Industry: Automotive Past Returns: 35% Risk: Very High
Amazon ๐
Industry: E-commerce Past Returns: 25% Risk: Medium
ExxonMobil ๐ข๏ธ
Industry: Energy Past Returns: 10% Risk: Medium
Chevron โฝ
Industry: Energy Past Returns: 12% Risk: Medium
JPMorgan ๐ฐ
Industry: Finance Past Returns: 8% Risk: Low
Pfizer ๐
Industry: Pharmaceutical Past Returns: 6% Risk: Low
Meta ๐
Industry: Technology Past Returns: 28% Risk: High
Coca-Cola ๐ฅค
Industry: Consumer Goods Past Returns: 5% Risk: Very Low
Microsoft ๐ป
Industry: Technology Past Returns: 20% Risk: Medium
Apple ๐
Industry: Technology Past Returns: 25% Risk: Medium
Netflix ๐ฌ
Industry: Entertainment Past Returns: 35% Risk: Very High
Intel ๐พ
Industry: Technology Past Returns: 10% Risk: Low
Visa ๐ณ
Industry: Finance Past Returns: 9% Risk: Low
Goldman Sachs ๐ฆ
Industry: Finance Past Returns: 15% Risk: Medium
Procter & Gamble ๐งผ
Industry: Consumer Goods Past Returns: 6% Risk: Very Low
Johnson & Johnson ๐ฅ
Industry: Pharmaceutical Past Returns: 5% Risk: Very Low
Disney ๐ฐ
Industry: Entertainment Past Returns: 18% Risk: Medium
PepsiCo ๐ฅค
Industry: Consumer Goods Past Returns: 7% Risk: Low
Submit Portfolio
Disclaimer
The risk and return values used in this game are based on simplified estimates from historical data. These are for educational purposes and do not reflect the actual future performance of any company. Please consult a financial advisor for real-world investment decisions.