TransDigm Group Inc. Model performance has inherent limitations. Halliburton Co. Rambus Inc. All materials presented are compiled by Patton from sources believed to be reliable and current, but accuracy cannot be guaranteed. See Note 1. Boeing Co. See Note 2. Tradingview stong buy metatrader 4 wine Resources Inc. Marathon Petroleum Corp. Oil States International Inc. Estimated fees and expenses including brokerage commissions, borrowing costs, and advisory fees, have been deducted from all back-tested performance. Newfield Exploration Co. NCR Corp. Jabil Circuit Inc.
Nabors Industries Ltd. Cott Corp. Analysts expect travel bookings to be. Retirement income projections are based good trading simulators double diagonal options strategy a variety of assumptions that are not certain. Cameron International Corp. Fair Isaac Corp. Akamai Technologies Inc. Fortinet Inc. XPO Logistics Inc. The Institute for Supply Management reported their Manufacturing Index how many minutes in a trading day radingstock alerts swing trade September at the highest level in 13 years and far better than economists had predicted. Masco Corp. Table of Contents About Fund Performance. Sapient Corp. Stillwater Mining Co.
In addition, no hypothetical track record can completely account for the impact of financial risk in actual trading. International stocks were mixed with developed country stocks down fractionally. Eagle Materials Inc. Tenneco Inc. General Electric Co. This information is distributed for education purposes, and it is not to be construed as an offer, solicitation, recommendation, or endorsement of any particular security, product, or service. Class A a,b. Lear Corp. KLA-Tencor Corp. Not indicative of future returns. Informatica Corp. Small-Cap Value 0. Advanced Micro Devices Inc.
Small-Cap 0. Pengrowth Energy Corp. Xilinx Inc. Although exact numbers must be used in such an analysis, this retirement income analysis is not meant to be precise. In a separate best stock options trading small stocks on vanguard report released at the same time, the first is a survey of businesses and the second is a survey of households, it was reported that the unemployment rate surprisingly dropped from 4. Engility Holdings Inc. JDS Uniphase Corp. Two major trends affecting software companies are the ongoing shifts towards mobile technology and cloud computing. Any presentation of a Patton Portfolio compared to a Traditional Portfolio is intended to have a similar risk profile. Avery Dennison Corp. Shares may be worth more or less than their original cost when they are redeemed or sold in the market. Kosmos Energy Ltd. All performance data is total returns which includes interest and dividends. PepsiCo Inc. Heartland Payment Systems Inc. Ford Motor Co. Micron Technology Inc.
Cooper-Standard Holding Inc. Diebold Inc. The assumed returns are based on selected portfolio or specific manually input return. This assumed return is disclosed in the results. Lam Research Corp. General Dynamics Corp. However, we have not verified this information, and we make no representations whatsoever as to its accuracy or completeness. Finisar Corp. Index Fund products that invest in emerging markets are generally more risky than those that invest in developed countries because countries with emerging markets may have relatively unstable and less-established markets and economies. Ball Corp. Cypress Semiconductor Corp. Gulfport Energy Corp.
Wireless companies are battling each other for additional phone subscriptions, as companies launch campaigns to slash prices and eliminate long-term contracts. Guidewire Software Inc. Alcoa Inc. Targa Resources Corp. Global Payments Inc. RealPage Inc. Sanmina Corp. Zebra Technologies Corp. Broadcom Corp. InterDigital Inc. Lennox International Inc.
Avnet Inc. LinkedIn Corp. Information contained herein is based on data obtained from statistical services, company reports or communications, or other sources. Sanmina Corp. Cumulative Total Returns. Delta Air Lines Inc. The energy, industrials, financials and health care sectors provided the largest positive contributions to Index returns. CoStar Group Inc. PepsiCo Inc. Health Care. Mid-Cap Growth 0. Ultimate Software Group Inc. Exelis Inc. Month-end market valuations are actual once the hedge fund statement has been posted to the website. Small-Cap Growth 0. Berkshire Hathaway Inc. July 31, Owens-Illinois Inc. Please login or subscribe to our news letter to access the Exclusive Content.
WEX Inc. You may lose money on your investment in a Patton Investment. Why Patton - Overview and 2. Halliburton Co. Following are the tradestation atr trailing stop indicator why is aig stock going down for the portfolio performance composites:. Actual results may vary and such variations may be material, and no representation or warranty is made regarding any forward-looking information contained. EMC Corp. PMC-Sierra Inc. Broadcom Corp. The result is multiple performance composites consisting of all like-type strategy and risk profile Patton client portfolios. Bemis Co. These expenses negatively impact fund performance. Generally the purpose of such presentations is to demonstrate the value of added diversification. Motor vehicle sales in September surged to an annual pace of Silgan Holdings Inc. Cardtronics Inc. Rackspace Hosting Inc. EchoStar Corp. Genpact Ltd. Smith Corp.
Advanced Micro Devices Inc. Celestica Inc. Armstrong World Industries Inc. Altera Corp. Due to the use of representative sampling, the Fund may or may not hold all of the securities that are included in the Index. Eagle Materials Inc. Delta Air Lines Inc. Wireless companies are battling each other for additional phone subscriptions, as companies launch campaigns to slash prices and eliminate long-term contracts. However, the U. InvenSense Inc. Although the jobs losses headline is somewhat shocking, there were many signs pointing to economic strength. Large-Cap Growth 0. Plexus Corp. Dr Pepper Snapple Group Inc. Gold tends to be considered a safe-haven for investors but safety is not what seems to be in vague at the moment. Helix Energy Solutions Group Inc.
Since these are simulated portfolios hypothetical and do not reflect any investor's actual experience with owning, trading or managing an actual investment account, there can be no assurance that an investor would have achieved similar rates of return over the time frame. If brokerage commissions were included, market returns would be lower. Audacity Strategy Back-tested Performance: all performance is shown net of a 2. National Instruments Corp. An index is an unmanaged, broad-based market index and investing in any Patton strategy is not similar to investing in an index. Huntington Ingalls Industries Inc. Every effort is made to insure correct calculations. Avnet Inc. Supplemental Information. Lear Corp. Oracle Corp. Not indicative of future returns. Fair Isaac Corp. EMC Corp.
Semiconductor stocks, as represented by personal accountant crypto philadelphia transfer from coinbase to bitpay wallet Index, posted strong returns and outperformed most other industry groups within the technology sector during the reporting period. Information contained herein is based on data obtained from statistical services, company reports or communications, or other sources. Suncor Energy Inc. All materials presented are compiled by Patton from sources believed to be reliable and current, but accuracy cannot be guaranteed. Autodesk Inc. AptarGroup Inc. Alliance Data Systems Corp. Gold declined once again this week losing Cheniere Energy Inc. Marvell Technology Group Ltd.
As such, the back-tested portion of the performance presentation does not represent the investment performance or tips for trading etfs td ameritrade close vertical spread actual Patton Investment or any investors in the Patton Investment. Patton : mark PattonFunds. Blackbaud Inc. Performance results assume reinvestment of all dividends and capital gain distributions and do not reflect the deduction of taxes that a shareholder would pay on fund distributions or on the redemption list of crypto platforms ravencoin profitability sale of fund shares. Martin Marietta Materials Inc. Industry benchmarks presented for comparison to Super-Diversified Portfolios are believed to be comparable risk portfolios although the holdings are very likely significantly different. Alliance Data Systems Corp. Forward-looking Statements. Two major trends affecting software companies are the ongoing shifts towards mobile technology and cloud computing. Coca-Cola Co. An index is a statistical composite that tracks a specified financial market or sector. National Instruments Corp. Occidental Petroleum Corp. Paychex Inc.
PMC-Sierra Inc. This retirement planning analysis has many limitations. Dresser-Rand Group Inc. Pandora Media Inc. Compuware Corp. Diamondback Energy Inc. Freescale Semiconductor Ltd. Treasury and mortgage bonds. Textron Inc. Valero Energy Corp. Yelp Inc. As an example of these themes, a leading software maker and large constituent within the Index acquired a major mobile phone manufacturer during the reporting period, reflecting the trend toward mobile computing. The investment return and principal value of shares will vary with changes in market conditions. ManTech International Corp. Engility Holdings Inc. TripAdvisor Inc. Riverbed Technology Inc. SolarWinds Inc. Precision Drilling Corp.
Unlike a fund, an index does not actually hold a portfolio of securities and therefore does not incur the expenses incurred by a fund. Verizon Communications Inc. Health Care. Anadarko Petroleum Corp. BlackBerry Ltd. FireEye Inc. Corporate Bonds 0. Alaska Air Group Inc. Investors were also reminded of lingering issues in the banking system, as a Portuguese bank failed and Argentina defaulted on certain of its government-issued debt. Eagle Materials Inc. Zebra Technologies Corp. Global Payments Inc. In a period of improving growth, such sectors typically underperform the overall stock market. Cavium Inc.