Pushed for time today so this will be brief.
With the close of markets on Wednesday, 8/13, the TSP allocation has signaled a change to LONG.
The signals are weak and mixed, but they are over the threshold and hence, I'm compelled to move long.
Here are the allocations:
Conservative | ||
AGG | F-Fund | 38% |
SPY | C-Fund | 27% |
EFA | I-Fund | 11% |
VXF | S-Fund | 24% |
100% | ||
Aggressive | ||
SPY | C-Fund | 44% |
EFA | I-Fund | 18% |
VXF | S-Fund | 38% |
100% |
My horizon in long-term (greater than 10 years) so I am aligning myself with the Aggressive portfolio. Changes made in my TSP account by 12:00 ET will be effective tonight.
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Obviously, do your own diligence. You are responsible for your investment decisions and I am not. Please take ownership for your actions.
Regards,
pgd
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