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Select up to 4 portfolios to compare stats, allocations, and historical growth side-by-side.

Buy and Hold
CAGR
7.5%
Max DD
-39.5%
Sharpe
0.29

Allocations

Gone Fishin' Portfolio
US Small-Cap Value15%
US Total Stock Market15%
Emerging Markets Equity10%
European Equity10%
Pacific Equity10%
Inflation-Protected Bond10%
US Aggregate Bond Index10%
High Yield Corporate Bond10%
Mortgage REIT5%
Gold5%

Growth of $10,000

All portfolios normalized to $10,000 starting in 1997.

Gone Fishin' Portfolio