Portfolio on 2.14.20

Up just under a percent again for the week. I’ll be honest, I’m very confused by the behavior of this market. Luckily, the strategy doesn’t seem to be. It’s tracking right along with the S&P 500 year to date. On February 14th, 2020, the strategy rebalanced to:

48% SPY , 36% TLT , 16% GLD

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