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A portfolio with 10% of each GOOG, AMZN, TSLA, MSFT, EBAY, ORB, MMM, NVDA, DDD, and FMI will do better than the Dow Jones (not counting dividends) between February 1st 2014 and January 1st 2015 (excluded).

Created by Mati on 2014-01-31; known on 2015-01-01; judged wrong by Mati on 2015-01-05.

  • Mati estimated 60% on 2014-01-31
  • lavalamp estimated 40% on 2014-01-31
  • Michael Dickens estimated 30% and said “Most of these stocks look pretty inflated right now.on 2014-02-03
  • Mati   judged this prediction wrong on 2015-01-05.