Online Journal for the Moose Pond Investors Club

Historical Performance

The following table shows the performance of Moose Pond Investors through December 18, 2004. Total return is the return from the start of the portfolio on October 4, 2000. All returns except YTD are shown on an annualized basis.

 
Stocks
Only
Stocks
& Cash
VG 500
Fund
S&P 500
Russell 2000
Unit
Value
2001
37.9%
30.8%
-10.3%
-11.9%
2.5%
$11.970
2002
-23.4%
-21.1%
-21.5%
-22.1%
-20.5%
$9.707
2003
35.1%
27.9%
30.7%
28.7%
47.3%
$11.802
YTD
11.6%
10.5%
10.3%
7.4%
15.3%
$12.615
Total
12.6%
10.5%
10.4%
$12.867

 

Since uninvested cash reduces overall return, the table shows both overall performance of the portfolio and, separately, performance of the stocks in the portfolio. Portfolio Record Keeper was used to make these calculations. The table also shows the IRR that would have resulted from making identical investments in Vanguard’s S&P 500 index fund.

Our Top 10 Winners and Losers

Our all time winners have been: LOW (+186%), JCI (+140%), PDCO (+84%), ORLY (+77%) and COF (+72%). Our losers have been: OCA (-61%), CTS (-35%), INTC (-31%), PFE (-28%), and MRK (-16%). Of the losers, we are still holding INTC, PFE and MRK.

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