
Bear market performance is just that.
Only 6 of the funds have a positive 3yr
correlation with portfolio PSR

The 16 funds in the scan were
BRWIX, DSEFX, FLPSX, GABAX, HACAX,
MPEGX, MSUSX, OAKLX, PHIYX, PTTRX,
SLASX< OTCFX, TEDMX, VHINX, VWIGX,
VASGX
These funds may have changed since I first
looked a Morningstar's plan. If they need
to be updated please post a comment.
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