Period: 01 Jan 2010 - 31 Dec 2010 (12 months).

The best ETF Portfolio of 2010 is:
Gold Portfolio, with a +29.27% return.

The best Investment Theme of 2010 is:
Palladium, with a +97.16% return.

Making investment decisions based only on past returns, not to mention short-term returns, is not recommended.

2010 - ETF Portfolio Returns

The following table represents Lazy ETF Portfolio 2010 YTD returns and stats. Columns are sortable, and portfolio risk filters can be used.

LAZY ETF PORTFOLIOS - 2010 RETURNS AND STATS
Period: 01 Jan 2010 - 31 Dec 2010
Risk Filter:
ETF Portfolio Return ▾ Drawdown Months
Pos - Neg
Gold
+29.27% -5.09% 9 - 3
Golden Butterfly with Bitcoin
+22.92% -2.89% 9 - 3
US Stocks Equal Weight
+21.37% -13.21% 8 - 4
Permanent Portfolio with Bitcoin
Harry Browne
+20.30% -0.51% 10 - 2
Technology
+20.14% -12.93% 7 - 5
US Stocks ESG
+19.88% -12.90% 8 - 4
Stocks/Bonds 60/40 with Bitcoin
+19.66% -7.03% 8 - 4
Marc Faber Portfolio
Marc Faber
+19.36% -3.86% 8 - 4
All Weather Portfolio with Bitcoin
Ray Dalio
+19.12% -0.85% 9 - 3
Desert Portfolio with Bitcoin
Gyroscopic Investing
+18.32% -1.67% 7 - 5
Sheltered Sam 100/0
Bill Bernstein
+18.03% -13.01% 7 - 5
US Stocks Momentum
+18.02% -12.13% 8 - 4
Ultimate Buy and Hold Strategy
Paul Merriman
+17.95% -12.96% 7 - 5
US Stocks
+17.42% -13.26% 8 - 4
Stocks/Bonds 40/60 with Bitcoin
+17.41% -3.85% 7 - 5
Talmud Portfolio
Roger Gibson
+17.33% -7.24% 7 - 5
Sheltered Sam 90/10
Bill Bernstein
+16.61% -11.68% 7 - 5
Golden Butterfly
+16.54% -2.77% 9 - 3
Emerging Markets Stocks
+16.51% -10.81% 6 - 6
Simplified Permanent Portfolio
+16.36% -0.02% 11 - 1
Gone Fishin' Portfolio
Alexander Green
+16.13% -8.77% 7 - 5
Pinwheel
+16.08% -7.26% 7 - 5
US Stocks Value
+15.81% -13.77% 7 - 5
Six Ways from Sunday
Scott Burns
+15.68% -8.16% 7 - 5
Stocks/Bonds 80/20 Momentum
+15.66% -9.31% 8 - 4
Paul Boyer Portfolio
Paul Boyer
+15.54% -0.81% 11 - 1
Seven Value
Scott Burns
+15.52% -8.80% 7 - 5
Lazy Portfolio
David Swensen
+15.37% -7.79% 7 - 5
Five Asset
Roger Gibson
+15.28% -9.00% 7 - 5
Robo Advisor 100
Betterment
+15.28% -12.96% 7 - 5
Family Taxable Portfolio
Ted Aronson
+15.27% -7.89% 7 - 5
Yale Endowment
David Swensen
+15.25% -6.77% 7 - 5
Sheltered Sam 80/20
Bill Bernstein
+15.19% -10.34% 7 - 5
Stocks/Bonds 80/20
+15.18% -10.23% 8 - 4
Stocks/Bonds 60/40 ESG
+15.13% -7.23% 7 - 5
Mid-Twenties
Burton Malkiel
+15.09% -10.53% 7 - 5
Mid-Fifties
Burton Malkiel
+15.05% -9.45% 7 - 5
Late Thirties to Early Forties
Burton Malkiel
+14.99% -10.22% 7 - 5
Robust
Alpha Architect
+14.96% -9.68% 7 - 5
Dynamic 60/40 Income
+14.75% -5.96% 7 - 5
Core Four
Rick Ferri
+14.71% -9.66% 7 - 5
Coffeehouse
Bill Schultheis
+14.67% -7.05% 7 - 5
Second Grader's Starter
Paul Farrell
+14.62% -11.38% 7 - 5
Simple Path to Wealth
JL Collins
+14.62% -9.46% 8 - 4
Warren Buffett Portfolio
Warren Buffett
+14.55% -11.71% 8 - 4
Robo Advisor 90
Betterment
+14.53% -11.53% 7 - 5
US Stocks Minimum Volatility
+14.52% -12.81% 7 - 5
Late Sixties and Beyond
Burton Malkiel
+14.47% -8.21% 7 - 5
Five Fold
Scott Burns
+14.45% -6.47% 7 - 5
Aggressive Global Income
+14.37% -10.71% 7 - 5
Edge Select Aggressive
Merrill Lynch
+14.37% -10.38% 7 - 5
Ivy Portfolio
Mebane Faber
+14.19% -9.36% 7 - 5
No Brainer Portfolio
Bill Bernstein
+14.15% -9.69% 7 - 5
Developed World ex-US Stocks Momentum
+14.14% -14.08% 6 - 6
Permanent Portfolio
Harry Browne
+13.92% -0.53% 10 - 2
Long Term Portfolio
Ben Stein
+13.80% -10.43% 7 - 5
Robo Advisor 80
Betterment
+13.80% -10.01% 7 - 5
Sheltered Sam 70/30
Bill Bernstein
+13.77% -8.97% 7 - 5
Tilt Toward Value
Time Inc
+13.64% -6.76% 7 - 5
LifeStrategy Growth Fund
Vanguard
+13.52% -9.79% 7 - 5
Three Funds
Bogleheads
+13.50% -9.82% 7 - 5
Four Funds
Bogleheads
+13.49% -9.93% 7 - 5
Jane Bryant Quinn Portfolio
Jane Bryant Quinn
+13.33% -8.39% 7 - 5
Stocks/Bonds 60/40 Momentum
+13.29% -6.43% 7 - 5
Nano Portfolio
John Wasik
+13.25% -6.63% 7 - 5
Sandwich Portfolio
Bob Clyatt
+13.17% -5.67% 7 - 5
Simple and Cheap
Time Inc
+13.14% -6.53% 7 - 5
Edge Select Moderately Aggressive
Merrill Lynch
+13.09% -8.24% 7 - 5
All Country World Stocks
+13.08% -12.80% 6 - 6
One-Decision Portfolio
Marvin Appel
+13.01% -6.14% 7 - 5
Ideal Index
Frank Armstrong
+13.00% -8.67% 7 - 5
Stocks/Bonds 60/40
+12.93% -7.13% 8 - 4
7Twelve Portfolio
Craig Israelsen
+12.87% -7.69% 7 - 5
Stocks/Bonds 40/60 ESG
+12.75% -4.31% 7 - 5
Ultimate Buy&Hold
FundAdvice
+12.72% -7.11% 7 - 5
Simple Money Portfolio
Tim Maurer
+12.55% -7.06% 7 - 5
All Weather Portfolio
Ray Dalio
+12.53% -0.95% 8 - 4
Gretchen Tai Portfolio
Gretchen Tai
+12.51% -8.38% 7 - 5
Sheltered Sam 60/40
Bill Bernstein
+12.35% -7.59% 7 - 5
Big Rocks Portfolio
Larry Swedroe
+12.32% -7.86% 7 - 5
GAA Global Asset Allocation
Mebane Faber
+12.24% -3.58% 9 - 3
Perfect Portfolio
Ben Stein
+12.14% -10.26% 7 - 5
All Country World 80/20
+12.00% -9.60% 6 - 6
Desert Portfolio
Gyroscopic Investing
+11.95% -1.56% 8 - 4
Global Market Portfolio
Credit Suisse
+11.92% -3.33% 9 - 3
Developed World ex-US 60/40 Momentum
+11.89% -6.85% 6 - 6
Rob Arnott Portfolio
Rob Arnott
+11.89% -2.99% 9 - 3
Edge Select Moderate
Merrill Lynch
+11.88% -5.89% 7 - 5
Coward's Portfolio
Bill Bernstein
+11.88% -7.73% 7 - 5
LifeStrategy Moderate Growth
Vanguard
+11.87% -6.75% 7 - 5
Margaritaville
Scott Burns
+11.85% -8.08% 7 - 5
Couch Potato
Scott Burns
+11.78% -6.09% 7 - 5
Robo Advisor 50
Betterment
+11.61% -5.51% 7 - 5
High Yield Bonds Income
+11.52% -3.24% 9 - 3
Dynamic 40/60 Income
+11.25% -3.72% 8 - 4
Four Square
Scott Burns
+10.97% -5.40% 7 - 5
All Country World 60/40
+10.93% -6.54% 7 - 5
Stocks/Bonds 40/60 Momentum
+10.93% -3.48% 7 - 5
Sheltered Sam 50/50
Bill Bernstein
+10.93% -6.18% 7 - 5
Dimensional 2030 Retirement Income
DFA
+10.90% -6.53% 7 - 5
Larry Portfolio
Larry Swedroe
+10.82% -2.16% 8 - 4
Developed World ex-US 40/60 Momentum
+10.77% -4.04% 9 - 3
Stocks/Bonds 40/60
+10.69% -3.96% 7 - 5
Edge Select Moderately Conservative
Merrill Lynch
+10.48% -3.50% 7 - 5
LifeStrategy Conservative Growth
Vanguard
+10.21% -3.68% 7 - 5
Lifepath Fund
iShares
+10.07% -3.83% 7 - 5
All Country World 40/60
+9.86% -3.62% 7 - 5
Sheltered Sam 40/60
Bill Bernstein
+9.51% -4.76% 7 - 5
10-year Treasury
+9.37% -4.30% 7 - 5
Andrew Tobias Portfolio
Andrew Tobias
+9.28% -8.62% 6 - 6
All Country World 20/80
+8.78% -1.65% 9 - 3
Eliminate Fat Tails
Larry Swedroe
+8.60% -3.33% 7 - 5
Stocks/Bonds 20/80 Momentum
+8.56% -0.70% 10 - 2
LifeStrategy Income Fund
Vanguard
+8.55% -1.00% 10 - 2
Total Bond Developed World ex-US
+8.53% -1.97% 10 - 2
Developed World ex-US 20/80
+8.49% -1.80% 10 - 2
Developed World ex-US 40/60
+8.45% -4.11% 8 - 4
Stocks/Bonds 20/80
+8.44% -0.76% 10 - 2
Developed World ex-US 60/40
+8.42% -7.69% 6 - 6
Developed World ex-US 80/20
+8.38% -11.60% 6 - 6
Developed World ex-US Stocks
+8.35% -15.54% 6 - 6
Sheltered Sam 30/70
Bill Bernstein
+8.08% -3.32% 7 - 5
All Country World Bonds
+7.71% -2.17% 10 - 2
Edge Select Conservative
Merrill Lynch
+7.47% -1.66% 8 - 4
Dimensional Retirement Income Fund
DFA
+6.92% -1.92% 10 - 2
Sheltered Sam 20/80
Bill Bernstein
+6.66% -1.86% 8 - 4
Robo Advisor 20
Betterment
+6.55% -1.59% 7 - 5
Conservative Income
Charles Schwab
+6.25% -1.09% 9 - 3
Total Bond US
+6.20% -1.70% 8 - 4
US Inflation Protection
+6.14% -3.05% 7 - 5
European Stocks
+6.05% -17.10% 5 - 7
Sheltered Sam 10/90
Bill Bernstein
+5.24% -0.81% 9 - 3
Robo Advisor 10
Betterment
+4.56% -0.60% 10 - 2
Sheltered Sam 0/100
Bill Bernstein
+3.82% -1.48% 8 - 4
Robo Advisor 0
Betterment
+2.60% -0.49% 9 - 3
Short Term Treasury
+2.28% -0.37% 9 - 3

2010 - Best Investment Themes

Portfolios can be specialized with particular Investment Themes.

In the following table, the best (and worst) Investment Themes 2010 YTD returns. Columns are sortable.

Check all the Investment Themes

INVESTMENT THEMES - 2010 RETURNS AND STATS
Period: 01 Jan 2010 - 31 Dec 2010
ETF Investment Theme Return ▾ Drawdown Months
Pos - Neg
PALL Palladium +97.16% -19.34% 10 - 2
SLV Silver +82.47% -3.87% 9 - 3
EPU Peru +57.71% -7.43% 9 - 3
THD Thailand +56.72% -8.10% 8 - 4
GXG Colombia +51.69% -10.84% 10 - 2
ECH Chile +46.62% -3.19% 10 - 2
EWM Malaysia +38.99% -7.66% 9 - 3
EZA South Africa +36.94% -12.47% 6 - 6
EWD Sweden +35.89% -13.95% 8 - 4
CPER Copper +33.42% -17.20% 8 - 4
IJK US Mid Cap Growth +30.43% -12.66% 8 - 4
EWY South Korea +29.55% -15.14% 8 - 4
GLD Gold +29.27% -5.09% 9 - 3
VNQ US REITs +28.37% -10.25% 7 - 5
XLRE Real Estate +28.37% -10.25% 7 - 5
IJT US Small Cap Growth +28.24% -12.87% 8 - 4
EWW Mexico +27.92% -9.85% 7 - 5
XLI Industrials +27.82% -15.37% 8 - 4
XLY Consumer Discretionary +27.46% -16.07% 8 - 4
IJH US Mid Cap Blend +26.72% -13.20% 8 - 4
IJR US Small Cap Blend +26.60% -15.16% 8 - 4
TUR Turkey +25.59% -12.28% 6 - 6
IJS US Small Cap Value +24.69% -17.56% 8 - 4
EWS Singapore +24.58% -8.33% 8 - 4
EWH Hong Kong +24.11% -9.27% 9 - 3
EWT Taiwan +22.76% -13.65% 7 - 5
XLE Energy +21.78% -16.70% 8 - 4
VOE US Mid Cap Value +21.76% -13.25% 8 - 4
BNO Brent Oil +21.58% -14.64% 9 - 3
XLB Materials +20.55% -16.17% 8 - 4
PPLT Platinum +20.48% -12.65% 8 - 4
QQQ US Technology +20.14% -12.93% 7 - 5
EWC Canada +19.78% -11.31% 8 - 4
XLC Communication Services +19.53% -7.75% 7 - 5
FLLA Latin America +18.68% -11.18% 6 - 6
EMIF Emerging Markets Infrastructure +18.66% -9.18% 7 - 5
VTI US Total Stock Market +17.42% -13.26% 8 - 4
VUG US Large Cap Growth +17.21% -13.49% 8 - 4
EEM Emerging Markets +16.51% -10.81% 6 - 6
EWO Austria +15.74% -21.95% 6 - 6
VPL Pacific +15.58% -12.86% 7 - 5
EIS Israel +15.31% -21.02% 7 - 5
EWA Australia +15.30% -20.18% 6 - 6
SPY US Large Cap Blend +15.06% -12.71% 8 - 4
CGW Global Water +15.04% -10.58% 7 - 5
VTV US Large Cap Value +14.54% -12.53% 7 - 5
EWL Switzerland +14.44% -15.24% 8 - 4
PFF Preferred Stocks +13.81% -4.34% 10 - 2
XLP Consumer Staples +13.78% -8.04% 6 - 6
EWJ Japan +13.59% -11.24% 8 - 4
VT World All Countries +13.08% -12.80% 6 - 6
XLF Financials +11.90% -15.91% 7 - 5
DBC Commodities +11.90% -12.39% 6 - 6
HYG High Yield Bonds +11.89% -4.68% 8 - 4
XLK Information Technology +11.39% -12.47% 7 - 5
EMB Emerg. Market Bonds +10.83% -4.43% 9 - 3
EWU United Kingdom +10.18% -15.96% 5 - 7
LQD Invest. Grade Bonds +9.33% -2.61% 8 - 4
TLT Long Term Treasuries +9.05% -11.82% 5 - 7
BNDX International Bonds +8.53% -1.97% 10 - 2
EWG Germany +8.22% -15.42% 5 - 7
EFA EAFE Stocks +8.15% -15.47% 6 - 6
EWZ Brazil +7.74% -16.79% 6 - 6
IGF Global Infrastructure +6.96% -13.01% 6 - 6
BND US Total Bond Market +6.20% -1.70% 8 - 4
TIP TIPS +6.14% -3.05% 7 - 5
VGK Europe +6.05% -17.10% 5 - 7
XLU Utilities +5.30% -7.12% 7 - 5
EWK Belgium +5.00% -15.65% 5 - 7
EWN Netherlands +4.85% -15.17% 5 - 7
VNM Vietnam +4.05% -10.97% 9 - 3
FXI China +3.50% -9.23% 6 - 6
XLV Healthcare +3.30% -12.10% 7 - 5
BIL US Cash -0.04% -0.07% 8 - 4
USO WTI Crude Oil -0.71% -22.77% 8 - 4
EWQ France -2.55% -22.61% 5 - 7
EWI Italy -14.22% -28.16% 5 - 7
EWP Spain -18.87% -31.76% 5 - 7
ICLN Global Clean Energy -27.49% -33.78% 4 - 8
UNG Natural Gas -40.58% -42.66% 4 - 8
Stocks Bonds Commodities
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