Saturday, August 13, 2011

Returns for week ending 8/12/11

Returns for the past week:

Model portfolio: +0.71%

Actual managed account: 0.0%

NOTE: The DecisionPoint timing model threw a NEUTRAL signal on 7/29. While the model portfolio has moved to a 50% invested / 50% cash allocation, I have moved my actual managed accounts to 100% cash until the return vs. risk profile is improved. This accounts for the difference between model (hypothetical) and actual returns.

No comments:

Post a Comment

Moderator reserves the right to delete comments that are off topic or otherwise inappropriate for this blog.