Portfolio on 12.18.20

Up a bit more than half a percent for the week. Not much has changed. From the strategy’s perspective, this is a fairly typical market. On December 18th, the strategy rebalanced to:

60% SPY , 28% TLT , 12% GLD

*All investing strategies come with the risk of loss, including this one. This portfolio may not be appropriate for your investment goals and requirements, and it is not investment advice.

It should not be assumed that recommendations made in the future will be profitable or will equal the performance of the securities in this list.

Calculations are my own. Returns shown do not include trading costs. They do not include any fees. Past performance is not indicative of future performance. Dividends are re-invested.

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