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Scatter Diagram-All weeks

Comments. This analysis suggests that there are no negative returns for any single one-year period. That's nice, but the conclusion is tempered by two factors.

The portfolio component funds have been individually and collectively strong performers during the study period. Secondly, the period is limited--covering slightly less than four years. I would prefer, as stated elsewhere, at least five years or more, to include a bear market.

When one occurs, the system's built-in 'failsafe' should continue the positive one-year-returns record. See Failsafe in the Explanatory Notes section.

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