The market is down 1%. Japan is having another stimulus package and this is the fifth one in 3 years. Japan's credit rating should be lowered but all credit agencies do not have the guts. The difference between Japan and Greece is Japan can print out its own money while Greece can not.
The correction in gold and commodities is close to the end (another 3-5%).
My objective for my portfolio is to beat the index while have 50% less volatility. So far, my portfolio 1 is trailing S&P 500 by 1% with 80% less volatility while portfolio 2 is .5% behind TSX while volatility is 90% less.
closing value:
Portfolio 1 (U$): 110475
Portfolio 2 (C$): 79985
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