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PF5-US performance
PF5-US

For investors looking to match the market performance I have prepared my PF5-US portfolio. It is represented with the bright green line on the above chart, in comparison with the market (S&P500TR - black line), and the well-known conservative ASP portfolio (grey line).

 

Portfolio PF5-US has a specific asset allocation that enables it to provide annual returns very close to the S&P500TR index. As you can see on the chart above, during the last 10 years this portfolio has been performing just below the market (S&P500TR). Please note that it had experienced the same volatility like the market.

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This particular portfolio has performed the last 10 years with average annual return of 13.47%.

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Once you have opened and funded your brokerage account, and are still not certain what to do, which ETFs to buy and in what amounts, I can help you out with that.

 

How to purchase:

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If you are interested in this particular portfolio, please send payment via PayPal to igor@igorkajari.com in the amount of $199.00. As soon as I get the payment, I will send you a questionnaire to collect information necessary for me to perform the calculations for you. When the calculations are done, you will get the results: the names of the financial instruments, as well as the numbers of shares to buy.

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Once you have those numbers, you will be able to either execute those trades yourself online, or give them to your broker to execute.

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Purchase this portfolio calculations for $199.00 by clicking on the button below:

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