Saturday, June 6, 2009

ETF Investing Strategies: Buy and Hold vs. Moving Average Week 14

Week 14 of the Buy and Hold vs. Moving Average ETF investing is in the books. Investor A is using the Buy and Hold strategy and his portfolio went up about $250 this week for a total gain of 27.8% in the 14 weeks. Investor A's balanced portfolio of 10 ETF's is now worth $12,833.11.

Investor B (50 day moving average/200 day moving average ETF investing) is currently holding two of the 10 ETF's from the same balanced portfolio. His total portfolio had a small loss $10,000.41. His performance is -.4% so far.

The graphical representation by week is below and you can click on the graph and it will open in a bigger size making it easier to view.



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