Sunday, November 29, 2009

Week of 11-29-2009

Timing Model = 1.0
70% long, 30% cash

Global allocation of long positions
MSCI EAFE Index 20%
MCCI Emerging Markets Index 50%
Russell 3000 Index - U.S. 30%

Top U.S. Sectors
U.S. Basic Materials 4.0
Composite Internet 3.5
U.S. Banks 3.5
U.S. Real Estate 3.0
U.S. Telecommunications 2.5
U.S. Pharmaceuticals 2.0
U.S. Financials 2.0
U.S. Semiconductor 2.0

Top Intl. ETFs
MSCI Brazil Index Fund 3
S&P Latin America 40 Index Fund 3
MSCI Australia Index Fund 3
MSCI Pacific ex-Japan Index Fund 3
MSCI Mexico Index Fund 3

Strategy 3
Money Markets 8.3%
Industrial Materials 8.3%
Precious Metals 8.3%
Emerging Markets 8.3%
Internatiional Real Estate 8.3%
U.S. REITs 8.3%
EAFE 8.3%
U.S. Large Cap 8.3%
U.S. Long Bonds 8.3%
Energy 8.3%
Agriculture 8.3%
U.S. Small Caps 8.3%

Strategy 4
Money Markets 20%
Industrial Materials 20%
Precious Metals 20%
Emerging Markets 20%
U.S. REITs 20%

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