Bradley Nuttall 30% Equity / 70% Fixed Interest Portfolio30/70BNL Portfolio 30/70: 30% Equtiy and 70% Fixed Income, Conservative - Suitable for investors with a time horizon of approximately 4 years before they begin spending large amounts of their portfolio. This portfolio is acceptable for those seeking a lower degree of volatility and have an emphasis on capital preservation. Allocation: BNL Portfolio 30/70
Sources, Disclosures and Updates: See BNL Disclosure page, *some positions may be in multiple and thus double counted. Risk and Return: BNL Portfolio 30/70
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. Rolling Period Returns: BNL Portfolio 30/70 20 Years 1991 - 2011
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. Annual Returns: BNL Portfolio30/70 20 Years 1991 - 2011
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. Histogram of Annual Returns: BNL Portfolio 30/70 20 Years 1991 - 2011
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. Growth of $1 in BNL Portfolios 20 Years 1991 - 2011
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page.
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. Risk Return Scatter Plot in BNL Portfolios 20 Years 1991 - 2011
Sources, Disclosures and Updates: Returns are net manager fees but gross advisor and custodial fees. See BNL Disclosure page. |














