The couch potato portfolio can be built with 2 etfs.
Couch potato portfolio 2020.
It is based on asset class returns not actual mutual fund returns but will be very close to the results achieved in the least.
By scott burns january 18 2020.
Canadian couch potato 2020 01 24t07 58 41 05 00 january 23rd 2020 categories.
The 30 year return is 8 73 year to date the couch potato portfolio has returned 5 52.
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If you can fog a mirror and divide by the number 2 or make a margarita he ll show you how to get better investment results and a better retirement with little or no effort.
Last year it returned 19 48.
As long time readers will know i review my model portfolios once a year and if necessary make minor changes when better or cheaper funds have.
The following model portfolios can help you get started as a couch potato investor.
You should choose the one best suited to your risk profile.
Meet the potato family.
Stock market and 50 total u s.
Scott burns is the creator of couch potato investing and a personal finance columnist with decades of experience.
By scott burns april 11 2020.
Model portfolios 234 comments.
Unveiling the 2020 couch potato model portfolios.
The dividend yield is 0 89.
Conservative investors should allocate more.
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In 2019 the portfolio granted a 2 09 dividend yield if you are interested in getting periodic income.
Cash results for couch potato portfolios.
Couch potato investing cp portfolio recipes.
The suggestions below include portfolios built from etfs and index mutual funds.
The portfolio is exposed to 50 bonds and 50 equities.
Invested in the most basic couch potato portfolio allocation 50 total u s.
Both options include several asset mixes.
If you can fog a mirror and divide by the number 2 or make a margarita he ll show you how to get better investment results and a better retirement with little or no effort.
The scott burns couch potato portfolio is exposed for 50 on the stock market.
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It s a medium risk portfolio and it can be replicated with 2 etfs.
Choose the version that s.
It is a medium risk portfolio.
Let s hear it for sloth and simplicity.
For the past 10 years the couch potato portfolio has returned 8 56 with a standard deviation of 9 86.
Etfs and funds indexing basics tags.
This table shows the ending cash value for two basic couch potato portfolios for the period ending 3 31 2020.
In the last 10 years the portfolio obtained a 9 41 compound annual return with a 7 45 standard deviation.
This adds three months to the basic time periods being measured.