I've been noticing for a while that the graphs of "growth for the last 10 years" in the mutual fund prospectuses depend a lot on the starting point: if the starting point was high (i.e. after previous growth), the following growth would look poor compared to the competition, and the other way around. So I wrote some simple scripts to try to compensate for this effect.

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License

MIT License

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Additional Project Details

User Interface

Command-line

Programming Language

Perl

Related Categories

Perl Investment Management Software

Registered

2017-07-01