17.2% Annual Returns
16 Years of Published Stock Picks (2009-2024)
17.2%
Average Annual Returns
2009-2024
15.0%
Total Investing Record
2000-2024
12.6%
Crisis Investing
Beat the S&P 500 by 12.6% in 2008
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After 44 years of market ups and downs, I'm seeing familiar warning signs. My models are already shifting defensive - the same approach that limited losses to -24.5% during 2008 while the S&P fell -37.6%. Current positioning includes increased cash levels, defensive sector rotation, and carefully selected hedges. Subscribers get my complete correction playbook, including specific exit triggers and re-entry targets
The Numbers Speak for Themselves
Crisis-Tested Performance
During the 2008 financial crisis, while the S&P 500 plummeted -37.6%, my published picks limited losses to just -24.5%. Yes, investors still lost money. But they beat the market by 13.1%. That's significant capital preservation. Was it market timing? No, it was tactical repositioning and prioritizing capital preservation over profits.
How My Published Picks Compare
Performance Metric | My Published Picks | S&P 500 | Average Fund Manager |
|---|---|---|---|
16-Year Average (2009-2024) | 17.2% | 13.3% | 9.8% |
2008 Crisis Performance | -24.5% | -37.6% | -35.2% |
$100K Growth 2009-2024 | $1,267,190 | $737,358 | $409622 |
Track Record Transparency | 100% Public | Partial* | Limited |
Here’s What You'll Get Each Week
Performance Tracking
Updates on how my published picks are performing vs benchmarks.
Trade Analysis & Results
Post-trade breakdowns of my winners and losers, with lessons learned.
Market outlook & strategy
The latest market developments, which stocks I'm targeting, and how much cash I'm holding.
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Premium Members and Exclusive Members get my Monthly Market Report, my current watchlist, entry targets, real time trade alerts, my latest market commentary, custom-built charts, and email support. See pricing below.
Multiple indicators I track are flashing caution signals similar to those seen before major corrections. My systematic approach is rotating toward defensive positions, quality dividend stocks, and cash-generating assets. The same methodology that has delivered 17.2% annual returns knows when to protect capital first, profit second
I don't invest my own money in my models (mostly) because I don't want to be perceived as front-running my subscribers. So, I avoid most of the stocks I pick, unless it's just too compelling, in which case I would notify subscribers first, and do the trade later.
Pricing Table
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This website is for information purposes only. No money changes hands except for membership fees and other compensation. We believe the information we use in our models is accurate but there is no guarantee of that. All prices are "as is." Before making any investment decisions, do your own research or consult a financial professional to do it for you. My model portfolios are just that - models. No one owns the assets shown inside the models. Each investor must choose which stocks in the model resonate with the investor's goals and strategy.