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Current Model Results
| Notes:
Our calculations do not include commission costs, margin costs
or taxes. Since numerous investment vehicles exist which endeavor
to track the performance of the three indexes, all performance
results we publish here are calculated using the respective
indexes themselves as the investment. All dates below are trade
dates, meaning that the corresponding signal was issued on the
previous day, after the market close. Calculations assume all
trades are placed at market open on the trade date, with the
exception of mutual funds which use the closing price on the
trade date. When in cash, during Cash
signals, or Sell signals for Long Only strategies,
calculations assume a 0% return (returns would be greater using
a money market fund instead of cash). |
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Performance with U.S. market indexes (Nasdaq 100,
Russell 2000, S&P500) |
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| Please select a category below to review the performance of our current Model's four strategies versus a Buy and Hold approach for one or more of the indexes we report on. |
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Performance with World Index Ranking |
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| The
World Index Ranking system was introduced on September
15, 2006; earlier returns are backtested hypothetical
results. The table below provides the historical backtested
results for our sample 5-index portfolio as of the last completed
4-week period. The sample portfolio was started on December
15 , 2000 and is rebalanced every 4 weeks. The Long
Only strategy invests in the top 5 indexes during Buy
signals and goes to cash during Sells.
Long and Short returns are for the top 5 indexes
during Buy signals
and short Nasdaq 100 during Sell
signals. The Buy and Rebalance strategy ignores
the Buy/Sell
signals altogether and stays fully invested in the top 5 indexes. |
Cumulative
and annualized returns since 2001 (12/15/2000) as of
|
Long
Only |
Long
and Short |
Buy
and Rebalance |
Cumulative |
Annualized |
Cumulative |
Annualized |
Cumulative |
Annualized |
|
Yearly
returns |
Year |
Long
Only |
Long
and Short |
Buy
and Rebalance |
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2007
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14.38% |
6.22% |
24.56% |
2006
|
35.60% |
50.95% |
24.34% |
2005 |
38.40% |
50.62% |
32.93% |
2004 |
29.47% |
34.59% |
23.03% |
2003 |
59.18% |
61.59% |
45.98% |
2002 |
2.62% |
34.84% |
-12.05% |
2001 |
20.73% |
102.26% |
-1.29% |
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Performance with individual security or index |
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| Please
enter the ticker for your vehicle of choice (index, stock,
ETF, mutual fund). If you need to find a specific ticker
symbol you can look it up at Yahoo! Finance. |
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Performance with Bull/Bear mutual funds |
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The
tool below allows you to display performance results
for any combination of Bull/Bear mutual funds you choose.
The selected Bull fund is used when the signal is Buy
and the selected Bear fund is used when the signal is
Sell. Please
select the following for each type of fund:
- A
mutual fund family: ProFunds or Rydex
- An
index: Nasdaq 100, Russell 2000 or S&P 500
- A
daily Objective: Match/Inverse (no leverage)
or Double/Double Inverse (2 times leverage)
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Annualized Returns |
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Trades and Cumulative Returns |
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| For
a detailed explanation of how to read the Trades and Cumulative
Returns table, please refer to the FAQ of the Week in the
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TimingCube Wealth Calculator |
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