Performance Update for January, 2015

There has been a lot of activity in the markets.  I updated the google finance accounts where I track performance for the individual funds 1-6.  We set up stop losses and about half of them were triggered overall by the rout in the oil market and also the recent fall in Chinese stocks.  I created graphs of performance since last September (when I set up in google finance) marked against VTI which is a Vanguard ETF that mimics the US market performance and VEU which is a Vanguard ETF that mimics the non-US market performance.  Generally since our funds as a rule of thumb are about half US and half non US we’d be about in the middle.  But this is a rule of thumb and varies depending on the specific stocks and their unique performance in each portfolio.

Portfolio One

Portfolio 1

Portfolio Two

Portfolio 2

Portfolio Three

Portfolio 3

Portfolio Four

Portfolio 4M

Portfolio Five

Portfolio 5D

Portfolio Six

Portfolio 6

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