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WSC Global Tactical Asset Allocation Strategy (Markets all in local currency) |
Trade Global Markets In Local Currency With Discipline - The Perfect Strategy For Non-U.S. Investors!
Are you tired of losing money in the market? Are you disappointed with Fund Managers just sticking to the index or just rely on their instinct and not to proven strategies? Are you annoyed with the intransparency, hidden fees, soft dollar agreements etc. of your fund? Would you like to have the same competitive edge as some of the most successful traders and investors on Wall Street? The answer is quite simple. Follow proven strategies!
An Incredible 21% Return Per Year Since 1995!
The WSC Global Tactical Asset Allocation Model Portfolio Strategy which has generated an amazing 21.4% annualized return during the 1995 – 2010 period, while the broad market index only returned 5.9% to investors during the same time period. |
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Example Of Our Weekly Updated Model Portfolio Allocation Advice!
Members will receive a weekly updated portfolio-allocation sheet with advanced performance details of each position. |
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Take Advantage Of A Powerful Investment Advisory And Invest In A Portfolio Of Leaders
The WSC Global Tactical Asset Allocation Model Portfolio Strategy (GTAAS) is a global investment strategy which seeks to generate excess returns relative to cash and the S&P 500 through a quantitative and systematic investment process that enables members to gain tactical exposure to a broad variety of global markets. The GTAAS seeks to profit from taking long positions in major world equity markets which are quoted in local curreny.
This amazing model portfolio invests 20% in each market, which are among the top 5 markets within our Global Market Momentum Heat Map.This market will be held until its ranking drops below rank Nr. 10 in our heat map. In such a case, the market with the highest ranking (Nr. 1) will be bought, at this certain point of time. The WSC Global Tactical Asset Allocation Model Portfolio Strategy could also invest 100% in cash (T-Bills), if riskless global markets do not offer attractive returns, compared to riskless money market. This model portfolio is focused on Capital Preservation and is either invested in the strongest equity markets (equal weighted) or in cash and therefore may lock in profits even if a uptrend exists. |
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Local Indices Universe Overview
- S&P 500 (^GSPC)
- Nasdaq Composite (^IXIC)
- Dow Jones (^DJI)
- France (^FCHI)
- Netherlands (^AEX)
- Germany (^GDAXI)
- Spain (^SMSI)
- Japan (^N225)
- United Kingdom (^FTSE)
- Switzerland (^SSMI)
- Austria (^ATX)
- Belgium (^BFX)
- Denmark (^KFX)
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- Finland (^HEX)
- Greece (^ATG)
- Russia (^MTMS)
- Slovakia (^SAX)
- Turkey (^XU100)
- Egypt (^CCSI)
- Israel (^TA100)
- Australia (^AORD)
- Argentina (^MERV)
- Brazil (^BVSP)
- Chile (^IPSA)
- Mexico (^MXX)
- Peru (^IGRA)
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- South Korea (^KS11)
- Indonesia (^JKSE)
- Malaysia (^KLSE)
- Singapore (^STI)
- Sri Lanka (^CSE)
- Taiwan (^TWII)
- Pakistan (^KSE)
- Philippines (^PSI)
- India (^BSESN)
- China (^SSEC)
- Hong Kong (^HSI)
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Why The Crowd Has To Loose All The Time!
The markets are an ever and everything discounting mechanism and the product of the behavior of all their participants and, of course, not everybody can win. In order for every market to function, the majority of the participants have to lose. This majority is usually the uninformed and ignorant crowd, who rather relies on hot tips or even sheer luck like a gambler, instead of doing some homework and spending an extra buck for valuable and useful information. |
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- Get a weekly update of this magnificent model portfolio for the ridiculous rate of only a couple of cents a day
- Plus all the other proven indicators of the Wall Street pros!
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