Portfolio on 8.9.19

Up three quarters of a percent for the week, including Monday. The portfolio is almost identical to the midweek rebalance on Monday, except for the addition of some cash. The cash reduces the overall draw down potential, as the assets are all fairly volatile right now. On August 9th, the strategy rebalanced to:

46% SPY , 38% TLT , 11% GLD, 5% Cash