Portfolio Return for February 2010

Comments: Rebalanced into INT EAFE. Moved 1% allocation from US SmallCap to US Timber.

Related posts picked by plugin:

Stumble it!

2 Responses to “Portfolio Return for February 2010”

  1. The Personal Finance Blog Says:

    I see that a third of your portfolio is invested in Fixed Income. I also read on your About page that you lost a chunk of change in the early 00′s because of a lack of diversification. Is your current allocation a reflection of a certain aversion to risk or is there another reason why fixed income investments constitute the largest individual component of your portfolio?

  2. indexfundfan Says:

    The 33% allocated to fixed income is actually quite normal for a person in my current stage of working career. If anything, it could still be a little on the aggressive side.

Leave a Reply (Note: To eliminate spam, comments could be moderated.)