The 60/40 model won the race this week with a 1.45% gain compared to a 0.11% gain for my multi-strategy ETF model. With a CAGR that is 9.9% higher and a weekly volatility that is 30.7% lower, my model remains 100% allocated to QQQ. Year-to-date, my model is up 25.0%.
![Investing Update for the Week Ending July 19, 2024](https://thesystematictrader.com/wp-content/uploads/2024/07/My-Global-ETF-Multi-Strategy-Portfolio-vs-60-40-July-19-2024-1080x675.jpg)
Investing Update for the Week Ending July 19, 2024
My...
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