The October TS Model Portfolio report has now been posted.
The report discusses the near-term bear market. It reviews some of the causes and outlines the Portfolio's course of action over the next few months.
The YTD performance of the TS Growth Portfolio is -20.21%. This compares to the S&P 500 with -24.77%, the TSX with -13.09% and the Vanguard World Index at -25.58%.
The TS Income Portfolio is down -26.58% with an average dividend yield of +7.66%.