Thursday, April 16, 2015

Portfolio Model Performance Through March 2015

Through the first quarter of 2015, the Schwab Index portfolios are outperforming the others, but the Strategic portfolios have the better returns in the 3-, 5-, and 10-yr periods.


US and Foreign Indexes
3 mo 1 yr 3 yr 5 yr 10 yr 2008
Stock Markets (50-40-10)
2.8% 5.7% 11.5% 9.7% 6.8% -39.7%
S&P 500
1.0% 12.7% 16.1% 14.5% 8.0% -37.0%
MSCI EAFE
4.8% -0.9% 9.0% 6.2% 5.0% -43.4%
US OE Diversified Emg Mkts
1.1% -1.2% 0.6% 1.5% 7.6% -54.4%
Barclays Agg Bond--US
1.6% 5.7% 3.1% 4.4% 4.9% 5.2%
Barclays Agg Bond--Global
-1.9% -3.7% -0.2% 2.3% 3.6% 4.8%








Aggressive
2.7% 5.3% 11.4% 9.6% 6.4% -36.3%
95 Flex V
0.9% 3.1% 9.4% 8.7%
-19.1%
95 Strategic II
2.5% 6.3% 13.8% 13.0% 9.6% -35.9%
95 Schwab index
3.5% 6.2% 13.2% 11.3% 7.4% -37.2%
WealthFront 9
2.1% 4.2% 8.9% 8.4% 7.3% -38.0%








Moderately Aggressive
2.3% 4.8% 10.3% 9.1% 6.3% -32.0%
80 Flex V
1.0% 3.0% 9.0% 8.4%
-16.9%
80 Strategic II
2.4% 5.2% 11.6% 11.2% 8.8% -30.0%
80 Schwab index
3.2% 6.1% 11.4% 10.1% 6.9% -32.1%








Moderate
1.8% 3.8% 8.0% 7.7% 5.9% -23.1%
60 Flex V
1.0% 3.1% 8.4% 8.2%
-13.1%
60 Flex IV
1.3% 1.8% 6.3% 7.4%
-13.0%
60 Strategic II
2.0% 4.8% 9.7% 9.7% 8.2% -23.9%
60 Schwab index
2.7% 6.4% 9.4% 8.9% 6.2% -25.6%
Goldman Sachs Income Builder
1.9% 3.0% 9.1% 9.5% 6.7% -23.3%
American Funds Balanced Port
2.0% 7.0% 10.6% 9.8% 7.0% -28.2%








Moderately Conservative
1.1% 2.8% 5.7% 6.3% 5.4% -13.3%
40 Flex V
0.7% 3.4% 8.2% 8.2%
-13.1%
40 Strategic II
1.2% 4.9% 9.1% 8.8% 7.7% -17.7%
40 Schwab Index
2.3% 6.2% 7.2% 7.4% 5.4% -18.8%








Conservative
0.5% 1.8% 3.4% 4.8% 4.8% -2.5%
20 Flex V
0.8% 3.3% 7.3% 7.8%
-5.2%
20 Strategic II
0.8% 4.1% 7.0% 6.9% 6.7% -10.5%
20 Schwab index
2.0% 5.7% 4.9% 5.6% 4.4% -11.7%
















NOTE 1:  Past performance is no guarantee of specific future results.  This data is presented by Potomac Wealth Strategies, LLC.  This data is from Morningstar and should be accurate, but it has not been independently verified.








NOTE 2:  "Flex", "Strategic", and "Index" models are crafted/run by Potomac Wealth Strategies.  They show history of better returns, lower volatility, or both--or, with the Index models, closer tracking--vs benchmarks and competitors.








NOTE 3:  "XX Schwab index" models are low-cost portfolios.  They are comprised of index funds available free of transaction charges to my clients at Schwab.  This is what many might recommend due to low-costs and portfolio efficiency.








NOTE 4:  Nothing on this blog post represents investment advice to any individual or organization.  If the information hereon is of interest to you, please contact me at Garo.Partoyan@PotomacWealthStrategies.com for a consultation.








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