Timing Model = 1.0
70% long, 30% cash
Global allocation of long positions
MSCI EAFE Index 10%
MCCI Emerging Markets Index 50%
Russell 3000 Index - U.S. 40%
Top U.S. Sectors
Composite Internet 4.0
U.S. Technology 3.5
U.S. Basic Materials 3.5
U.S. Oil Equipment, Services & Distribution 3.0
U.S. Real Estate 2.5
U.S. Semiconductor 2.5
Precious Metals 2.5
U.S. Biotechnology 2.5
Top Intl. ETFs
MSCI Brazil Index Fund 3
S&P Latin America 40 Index Fund 3
MSCI Australia Index Fund 2
MSCI Mexico Index Fund 2
MSCI South Korea Index Fund 2
MSCI Pacific ex-Japan Index Fund 2
Strategy 3
Money Markets 9%
Industrial Materials 9%
Precious Metals 9%
Emerging Markets 9%
Internatiional Real Estate 9%
U.S. REITs 9%
EAFE 9%
U.S. Large Cap 9%
Energy 9%
Agriculture 9%
U.S. Small Caps 9%
Strategy 4
Money Markets 20%
Industrial Materials 20%
Emerging Markets 20%
Precious Metals 20%
Energy 20%
2 comments:
Happy New Year and thank you for posting your model results every week.
CA
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