Week 18 of the Buy and Hold vs. Moving Average ETF investing is over. The Buy and Hold Investor (Investor A) has not been doing well of late. Investor A's (Buy and Hold investing strategy) portfolio went down over $200 for a total gain of $22.1%. His
balanced portfolio of 10 ETF's is now worth $12,266.59. Investor A's portfolio had been as high as $12,800 just a few short wesk ago. A bumpy ride, no doubt but still an excellent gain thus far.
Investor B (50 day moving average/200 day moving average ETF investing) is currently holding three of the 10 ETF's from the same balanced portfolio. His total portfolio lost about $9 for the week and stands at $10,043.75. His performance is 0.0% thus far.
The cumulative graphical representation is below. Click on the graph to get an expanded view.
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