Portfolio Optimization to Minimize Loss with SIPmath Resample - Part 1: Optimize a portfolio of ETFs by maximizing the P10 outcome. Compare outcomes using cumulative distribution graphs. atOptions = { 'key' : 'a8dfc29b76f8e0e43144f40c1f6e4e79', 'format' : 'iframe', 'height' : 90, 'width' : 728, 'params' : {} }; document.write('');