Stock Selection + Market Timing
... for absolute returns over the full market cycle
Monday, December 27, 2010
Returns for week ending 12/24/10
Model portfolio, hypothetical returns for past… 1 week: -0.1%
Value of $10,000 invested at inception in 2003: $54,540
Sunday, December 19, 2010
Returns for week ending 12/17/10
Model portfolio, hypothetical returns for past… 1 week: -01.6%
Value of $10,000 invested at inception in 2003: $54,658
Tuesday, December 14, 2010
Returns for week ending 12/10/10
Model portfolio, hypothetical returns for past… 1 week: -0.8%
Value of $10,000 invested at inception in 2003: $55,534
Thursday, December 9, 2010
I'll be out of town and unable to update the portofolio until mid week. Just maintain your current positions until I send out the update. That's what I'm doing in my accounts and those that I manage.
Sunday, December 5, 2010
Returns for week ending 12/3/10
Model portfolio, hypothetical returns for past… 1 week: -0.14%
Value of $10,000 invested at inception in 2003: $55,996
For 43 months this blog tracked a "live test" of the Strategic Growth Model portfolio. This real-time test commenced in January 2008 and ended in August, 2011, with all trades posted in advance.
The purpose was to demonstrate that a systematic approach to investing can yield exceptional returns in all market conditions. More information about the system may be found at the bottom of this page.
is a private investor; developed the Strategic Growth Model portfolio. Over the past 8 years, this systematic approach has been validated over a full Bull-Bear market cycle.