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Harry Browne Permanent Portfolio

A balanced all-weather portfolio designed to perform in all four economic environments

Expected Return
연 6-8%
Expected Dividend
연 1.5%
Rebalancing
Annually

Asset Allocation

VTI (25%)
TLT (25%)
BIL (25%)
GLD (25%)
VTI
Stocks – prosperity hedge
25%
TLT
Long-term Treasuries – deflation hedge
25%
BIL
Cash – recession hedge
25%
GLD
Gold – inflation hedge
25%

Advantages

  • Prepared for all economic conditions – prosperity, recession, inflation, and deflation
  • Low volatility and smooth ride through market cycles
  • Consistent, predictable returns over the long term
  • Battle-tested strategy with decades of real-world validation

Risks

  • !Below-market returns during prolonged bull markets
  • !Large cash allocation drags on overall growth
  • !Significant dependency on gold performance
  • !Lags pure equity portfolios in strong upswings

Allocation by Investment Amount

If investing $1,000
VTI$250
TLT$250
BIL$250
GLD$250
If investing $5,000
VTI$1250
TLT$1250
BIL$1250
GLD$1250
If investing $10,000
VTI$2500
TLT$2500
BIL$2500
GLD$2500

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Automatically calculate exactly how much to buy and sell to rebalance your portfolio.

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