Portfolio is as follows:
35% TLT
33% IJH
17% IEFA
15% IAU
Numbers are as follows:
Avg Return = 11.8%
Min Return = -6.2%
Max Return = 32.8%
STDEV = 9.4%
1971 - 2014 PP Variant Performance (Annual Return 11.8%)
Moderator: Global Moderator