Since 2004, this portfolio has returned 155.9%, underperforming the market by 117.4%.
Year | Portfolio | S&P 500 |
2004 | 22.8% | 9.3% |
2005 | 21.8% | 3.0% |
2006 | 34.5% | 13.6% |
2007 | -18.7% | 3.5% |
2008 | -50.7% | -38.5% |
2009 | 33.4% | 23.5% |
2010 | 12.5% | 12.8% |
Year | Portfolio | S&P 500 |
2011 | -17.0% | -0.0% |
2012 | 21.6% | 13.4% |
2013 | 29.8% | 29.6% |
2014 | 13.3% | 11.4% |
2015 | -22.5% | -0.7% |
2016 | 19.9% | 9.5% |
2017 | 9.6% | 19.4% |
Year | Portfolio | S&P 500 |
2018 | -18.9% | -6.2% |
2019 | 35.6% | 28.9% |
2020 | -5.3% | 16.3% |
2021 | 41.9% | 26.9% |
2022 | -16.2% | -19.4% |
2023 YTD | 12.9% | 7.8% |
The Low PE Investor portfolio is based on the published writings of John Neff
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