The S&P 500 continues to close the gap vs the other portfolios with bond, international and more real estate exposure. This week capped off a nice rebound from few weeks ago when all the portfolios were close to going negative!
An exploration of Mutual Fund Investing, tracking hypothetical portfolios and comparing Managed Funds, Index Funds and ETFs and other random thoughts about saving, investing, and managing money.
The S&P 500 continues to close the gap vs the other portfolios with bond, international and more real estate exposure. This week capped off a nice rebound from few weeks ago when all the portfolios were close to going negative!
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