
It doesn’t take a math major to realize that
the rest of the investment field combined only garnered about 10 percent of the
survey respondents’ trust. Considering that nearly every day of the week I am
presented with a do-it-yourselfer’s portfolio that looks more like a monkey and
dartboard portfolio, I wonder how these self-trusting investors would rank
themselves in terms of the quality of their do-it-yourself portfolios?
For those with enough courage, put your
portfolio through some of the diagnostic and review tests that a professional
would do, and see if you have earned the trust that many apparently have in
their money management skills.
The first test most want to do is a
performance test. Sure, performance matters, but relative performance is even
more meaningful than absolute performance. Absolute performance means your
actual raw returns expressed as a plus or minus. But relative performance takes
that absolute performance number and asks questions regarding risk.
Exactly how much risk did you take in order
to earn that rate of return? If you took abnormally high risk, and returned
market-like returns, your absolute performance would not be very good. If on
the other hand, you took very little risk and earned market-like returns or
better, your absolute performance is good.

Next examine the volatility of your
portfolio. Volatility is a measurement of instability or the range of
expectations for your investments, either one-by-one or for your portfolio as a
whole. Most individual investors have not been exposed to how much volatility
may be inherent in their holdings. This may be enlightening to those with the
courage to check.
It may also be wise to look at each
individual holding, and examine how your holding compares with alternative
holdings in the same industry, sector or country. If you learn that you have a
dog compared to the alternatives available, consider a change.
John P. Napolitano is CEO of U.S. Wealth Management in
Braintree, Mass., and 2012 president of the Financial Planning Association of
Massachusetts. He may be reached at jnap@uswealthcompanies.com
or on Facebook as JohnPNapolitano and US Wealth
John Napolitano is a
registered principal with and securities offered through LPL Financial. Member
FINRA/SIPC. He can be reached at 781-849-9200.
Securities offered through LPL Financial, Member FINRA/SIPC.
Investment advice offered through U.S. Financial Advisors, a registered investment advisor and separate entity from LPL Financial. The LPL Financial Registered Representatives associated with this site may only discuss and/or transact securities business with resident of the following states: AL, AR, AZ, CA, CO, CT, DC, FL, GA, HI, IA, ID, IL, IN, KS, KY, LA, MA, MD, ME, MN, NC, ND, NH, NJ, NM, NV, NY, OH, OK, OR, PA, RI, SC, TN, TX, UT, VA, VT, WA, WV. USFA, and U.S. Insurance Brokers, LLC are wholly-owned subsidiaries of U.S. Wealth Management. U.S. Wealth Management companies are not affiliated with LPL Financial.
The information being provided is strictly as a courtesy. When you link to any of the web sites provided here, you are leaving this web site. We make no representation as to the completeness or accuracy of information provided at these web sites. Nor is the company liable for any direct or indirect technical or system issues or any consequences arising out of your access to or your use of third-party technologies, web sites, information and programs made available through this web site. When you access one of these web sites, you are leaving our web site and assume total responsibility and risk for your use of the web sites you are linking to.
Securities offered through LPL Financial, Member FINRA/SIPC.
Investment advice offered through U.S. Financial Advisors, a registered investment advisor and separate entity from LPL Financial. The LPL Financial Registered Representatives associated with this site may only discuss and/or transact securities business with resident of the following states: AL, AR, AZ, CA, CO, CT, DC, FL, GA, HI, IA, ID, IL, IN, KS, KY, LA, MA, MD, ME, MN, NC, ND, NH, NJ, NM, NV, NY, OH, OK, OR, PA, RI, SC, TN, TX, UT, VA, VT, WA, WV. USFA, and U.S. Insurance Brokers, LLC are wholly-owned subsidiaries of U.S. Wealth Management. U.S. Wealth Management companies are not affiliated with LPL Financial.
The information being provided is strictly as a courtesy. When you link to any of the web sites provided here, you are leaving this web site. We make no representation as to the completeness or accuracy of information provided at these web sites. Nor is the company liable for any direct or indirect technical or system issues or any consequences arising out of your access to or your use of third-party technologies, web sites, information and programs made available through this web site. When you access one of these web sites, you are leaving our web site and assume total responsibility and risk for your use of the web sites you are linking to.
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