Compare Portfolios
Select up to 4 portfolios to compare stats, allocations, and historical growth side-by-side.
Allocations
Generalized Protective Momentum
Cash26.1%
Intermediate-Term Treasury Bond23.1%
Gold7.3%
Broad Commodities6.3%
Japan Equity5.9%
US Real Estate5.4%
Emerging Markets Equity4.6%
US Large-Cap Tech Growth4.6%
Investment Grade Corporate Bond3.9%
European Equity3.1%
US Small-Cap Blend2.6%
High Yield Corporate Bond1%
US Large-Cap Blend0.6%
Growth of $10,000
All portfolios normalized to $10,000 starting in 1973.
Generalized Protective Momentum