2017 has obviously been a strong year for most investors. I am evaluating my portfolio performance for the year and am curious about the returns others have seen. As a long-term investor, I'm most interested in those who have stuck with an allocation model pretty consistently throughout the year (i.e. not a lot of speculation)
For context, it would be helpful if you also describe your allocation
Of course, I can't ask others to share if I don't.
Mine: 16.7% return YTD. Portfolio is comprised of: 75% domestic and foreign stocks, 12% domestic and foreign bonds, 7% REITs, 2% Gold, 2% Cash, 2% Other (commodities, energy, etc.)
Submitted December 08, 2017 at 07:19PM by Techspud1121 http://ift.tt/2BOsh3U