PF5-US
For investors looking to match the market performance I have prepared my PF5-US portfolio. It is represented with the bright green line on the above chart, in comparison with the market (S&P500TR - black line), and the well-known conservative ASP portfolio (grey line).
Portfolio PF5-US has a specific asset allocation that enables it to provide annual returns very close to the S&P500TR index. As you can see on the chart above, during the last 10 years this portfolio has been performing just below the market (S&P500TR). Please note that it had experienced the same volatility like the market.
This particular portfolio has performed the last 10 years with average annual return of 13.47%.
Once you have opened and funded your brokerage account, and are still not certain what to do, which ETFs to buy and in what amounts, I can help you out with that.
How to purchase:
If you are interested in this particular portfolio, please send payment via PayPal to igor@igorkajari.com in the amount of $199.00. As soon as I get the payment, I will send you a questionnaire to collect information necessary for me to perform the calculations for you. When the calculations are done, you will get the results: the names of the financial instruments, as well as the numbers of shares to buy.
Once you have those numbers, you will be able to either execute those trades yourself online, or give them to your broker to execute.
Purchase this portfolio calculations for $199.00 by clicking on the button below: