Thursday, November 18, 2010

Performance from 3/22-11/18/2010


Here is a nice chart from Google Finance that shows my portfolio's performance since inception in late March of this year. Although the markets bottomed out on Tuesday (when they entered correction) they have been making a nice recovery since. As you can see there are large periods of fluctuation from July through October as well as periods of stagnation in May and June when I was not invested in the market. If I had gotten out 2 weeks about I would have made 600 more, but I'm satisfied with my 2.68% return at this point.


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