http://www.investorvillage.com/group...g&mid=16758546 It seems that the number that under-performed here is greater than the number that out-performed. Why is that? Could it be overly conservative investment choices? Allocation to US & International markets at a time Canadian markets were outperforming? Interested to know what others think.
2016 is just a snapshot in time, but results here do provide food for thought.