Final results from start of portfolio (~11/16/2012) until close 12/31/13. Not too great. Heavy cash and adding to positions throughout the period when the markets never pulled back significantly.
Some comps:
IWV(R3000) +35.42%
ACWI +26%
VWO -0.41
BND -5.71%
*As always dividends go to cash and are not calculated in the gain/loss% per asset. Too lazy.
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