The Future of Financial Research

Looks great! Some nitpicks: - in the "Relative Product Comparison" chart, it wasn't immediately obvious to me which axis represented volatility and which represented annual return. - in the "Product Performance Over Time", it'd be nice to get a value mouseover. Also, does it make sense for this chart to be cumulative % return over time, indexed at the origin point? Perhaps month-to-month change would be better? Also, it'd be great to benchmark each product against, say, the mean in that category (I was looking at emerging markets in a quick tour)
would love to hear what the wealthfront people think