Total for the week down 0.89%, including Monday before the rebalance. Mild changes today. It bounced today between staying with the same portfolio and this small adjustment. On September 25th, the strategy rebalanced to:
36% SPY , 48% TLT , 16% GLD
On a good note, since my last update to the code, I haven’t seen the portfolio at the top of the blog “wrong”. Its been a bit old a few times (by an hour or so), but not necessarily off, just delayed. I only look at every so often though so that’s not a concrete statement on its accuracy.
*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.