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The 2
for 1 portfolio of 30 real stocks, in the author?s own IRA account, has beaten
the S&P 500 for ten of the last twelve years. The 2 for 1 model portfolio has
averaged an annual 17.2% return from its inception through 6/30/2004.
2 for 1
unlocks the power of the stock split in two ways.
1.) 2
for 1 recommends only stocks that have recently announced a split. This strategy
insures that you will be selecting only from a group of companies that will
statistically outperform the market.
2.) The 2 for 1 portfolio
is managed by laddering the stocks through a 2 ½ year cycle that takes all the
guess work and emotion out of the buy and sell decision. |