Best ETF Portfolio 2010

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

The best ETF Portfolio of 2010 is:
Tyler Golden Butterfly 2x Leveraged Portfolio, with a +31.56% 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 months 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
ETF Portfolio Author Return ▾ Months
Pos - Neg
Golden Butterfly 2x Leveraged Tyler +31.56% 8 - 2
Talmud Portfolio 2x Leveraged Roger Gibson +30.97% 6 - 4
Gold +29.27% 9 - 3
Simplified Permanent Portfolio 2x Leveraged The Lazy Team +27.40% 8 - 2
Golden Butterfly with Bitcoin Tyler +22.92% 9 - 3
Stocks/Bonds 60/40 2x Leveraged +22.81% 6 - 4
Weird Portfolio Value Stock Geek +22.57% 8 - 4
All Weather Portfolio 2x Leveraged Ray Dalio +22.38% 7 - 3
Desert Portfolio 2x Leveraged Gyroscopic Investing +22.08% 8 - 2
US Stocks Equal Weight +21.37% 8 - 4
Permanent Portfolio with Bitcoin Harry Browne +20.30% 10 - 2
Technology +20.14% 7 - 5
US Stocks ESG +19.88% 8 - 4
Stocks/Bonds 60/40 with Bitcoin +19.66% 8 - 4
Stocks/Bonds 40/60 2x Leveraged +19.60% 7 - 3
All Weather Portfolio with Bitcoin Ray Dalio +19.43% 9 - 3
Marc Faber Portfolio Marc Faber +19.36% 8 - 4
Desert Portfolio with Bitcoin Gyroscopic Investing +18.32% 7 - 5
Gold Pivot Ptf Aim Ways +18.24% 10 - 2
Sheltered Sam 100/0 Bill Bernstein +18.03% 7 - 5
US Stocks Momentum +18.02% 8 - 4
Ultimate Buy and Hold Strategy Paul Merriman +17.95% 7 - 5
US Stocks +17.42% 8 - 4
Stocks/Bonds 40/60 with Bitcoin +17.41% 7 - 5
Talmud Portfolio Roger Gibson +17.33% 7 - 5
Sheltered Sam 90/10 Bill Bernstein +16.61% 7 - 5
Golden Butterfly Tyler +16.54% 9 - 3
Emerging Markets Stocks +16.51% 6 - 6
Simplified Permanent Portfolio The Lazy Team +16.36% 11 - 1
Odd-Stats Strategy Aim Ways +16.21% 8 - 4
Gone Fishin' Portfolio Alexander Green +16.13% 7 - 5
Dedalo Three Dedalo Invest +16.12% 7 - 5
Pinwheel Tyler +16.08% 7 - 5
Shield Strategy Aim Ways +16.03% 8 - 4
US Stocks Value +15.81% 7 - 5
Six Ways from Sunday Scott Burns +15.68% 7 - 5
Stocks/Bonds 80/20 Momentum +15.66% 8 - 4
Paul Boyer Portfolio Paul Boyer +15.54% 11 - 1
Seven Value Scott Burns +15.52% 7 - 5
Lazy Portfolio David Swensen +15.37% 7 - 5
Five Asset Roger Gibson +15.28% 7 - 5
Robo Advisor 100 Betterment +15.28% 7 - 5
Family Taxable Portfolio Ted Aronson +15.27% 7 - 5
Sheltered Sam 80/20 Bill Bernstein +15.19% 7 - 5
Stocks/Bonds 80/20 +15.18% 8 - 4
Stocks/Bonds 60/40 ESG +15.13% 7 - 5
Mid-Twenties Burton Malkiel +15.09% 7 - 5
Mid-Fifties Burton Malkiel +15.05% 7 - 5
Late Thirties to Early Forties Burton Malkiel +14.99% 7 - 5
Robust Alpha Architect +14.96% 7 - 5
Yale Endowment David Swensen +14.85% 7 - 5
Dynamic 60/40 Income The Lazy Team +14.75% 7 - 5
Core Four Rick Ferri +14.71% 7 - 5
Dedalo Eleven Dedalo Invest +14.68% 7 - 5
Coffeehouse Bill Schultheis +14.67% 7 - 5
Second Grader's Starter Paul Farrell +14.62% 7 - 5
Simple Path to Wealth JL Collins +14.62% 8 - 4
Dedalo Four Dedalo Invest +14.56% 7 - 5
Warren Buffett Portfolio Warren Buffett +14.55% 8 - 4
Robo Advisor 90 Betterment +14.53% 7 - 5
US Stocks Minimum Volatility +14.52% 7 - 5
Late Sixties and Beyond Burton Malkiel +14.47% 7 - 5
Five Fold Scott Burns +14.45% 7 - 5
Aggressive Global Income The Lazy Team +14.37% 7 - 5
Edge Select Aggressive Merrill Lynch +14.37% 7 - 5
In Saecula Saeculorum Fulvio Marchese +14.27% 8 - 4
Ivy Portfolio Mebane Faber +14.19% 7 - 5
No Brainer Portfolio Bill Bernstein +14.15% 7 - 5
Developed World ex-US Stocks Momentum +14.14% 6 - 6
US Stocks Quality +14.04% 7 - 5
Permanent Portfolio Harry Browne +13.92% 10 - 2
Long Term Portfolio Ben Stein +13.80% 7 - 5
Robo Advisor 80 Betterment +13.80% 7 - 5
PISI Portfolio Davide Pisicchio +13.77% 10 - 2
Sheltered Sam 70/30 Bill Bernstein +13.77% 7 - 5
Tilt Toward Value Time Money Inc +13.64% 7 - 5
Aim comfortable trip Aim Ways +13.58% 7 - 5
LifeStrategy Growth Fund Vanguard +13.52% 7 - 5
Three Funds Bogleheads +13.50% 7 - 5
Four Funds Bogleheads +13.49% 7 - 5
Ulcer Free Strategy Aim Ways +13.36% 10 - 2
Jane Bryant Quinn Portfolio Jane Bryant Quinn +13.33% 7 - 5
Stocks/Bonds 60/40 Momentum +13.29% 7 - 5
Nano Portfolio John Wasik +13.25% 7 - 5
Sandwich Portfolio Bob Clyatt +13.17% 7 - 5
Simple and Cheap Time Money Inc +13.14% 7 - 5
Edge Select Moderately Aggressive Merrill Lynch +13.09% 7 - 5
All Country World Stocks +13.08% 6 - 6
One-Decision Portfolio Marvin Appel +13.01% 7 - 5
Ideal Index Frank Armstrong +13.00% 7 - 5
Stocks/Bonds 60/40 +12.93% 8 - 4
All Weather Portfolio Ray Dalio +12.88% 8 - 4
7Twelve Portfolio Craig Israelsen +12.87% 7 - 5
Stocks/Bonds 40/60 ESG +12.75% 7 - 5
Ultimate Buy&Hold FundAdvice +12.72% 7 - 5
Simple Money Portfolio Tim Maurer +12.55% 7 - 5
Gretchen Tai Portfolio Gretchen Tai +12.51% 7 - 5
Sheltered Sam 60/40 Bill Bernstein +12.35% 7 - 5
Big Rocks Portfolio Larry Swedroe +12.32% 7 - 5
GAA Global Asset Allocation Mebane Faber +12.24% 9 - 3
Perfect Portfolio Ben Stein +12.14% 7 - 5
All Country World 80/20 +12.00% 6 - 6
Desert Portfolio Gyroscopic Investing +11.95% 8 - 4
Global Market Portfolio Credit Suisse +11.92% 9 - 3
Developed World ex-US 60/40 Momentum +11.89% 6 - 6
Rob Arnott Portfolio Rob Arnott +11.89% 9 - 3
Edge Select Moderate Merrill Lynch +11.88% 7 - 5
Coward's Portfolio Bill Bernstein +11.88% 7 - 5
LifeStrategy Moderate Growth Vanguard +11.87% 7 - 5
Margaritaville Scott Burns +11.85% 7 - 5
Couch Potato Scott Burns +11.78% 7 - 5
Robo Advisor 50 Betterment +11.61% 7 - 5
High Yield Bonds Income The Lazy Team +11.52% 9 - 3
Dynamic 40/60 Income The Lazy Team +11.25% 8 - 4
Four Square Scott Burns +10.97% 7 - 5
All Country World 60/40 +10.93% 7 - 5
Stocks/Bonds 40/60 Momentum +10.93% 7 - 5
Sheltered Sam 50/50 Bill Bernstein +10.93% 7 - 5
Larry Portfolio Larry Swedroe +10.82% 8 - 4
Developed World ex-US 40/60 Momentum +10.77% 9 - 3
Stocks/Bonds 40/60 +10.69% 7 - 5
Edge Select Moderately Conservative Merrill Lynch +10.48% 7 - 5
LifeStrategy Conservative Growth Vanguard +10.21% 7 - 5
Lifepath Fund iShares +10.07% 7 - 5
All Country World 40/60 +9.86% 7 - 5
Sheltered Sam 40/60 Bill Bernstein +9.51% 7 - 5
10-year Treasury +9.37% 7 - 5
Andrew Tobias Portfolio Andrew Tobias +9.28% 6 - 6
All Country World 20/80 +8.78% 9 - 3
Eliminate Fat Tails Larry Swedroe +8.60% 7 - 5
Stocks/Bonds 20/80 Momentum +8.56% 10 - 2
LifeStrategy Income Fund Vanguard +8.55% 10 - 2
Total Bond Developed World ex-US +8.53% 10 - 2
Developed World ex-US 20/80 +8.49% 10 - 2
Developed World ex-US 40/60 +8.45% 8 - 4
Stocks/Bonds 20/80 +8.44% 10 - 2
Developed World ex-US 60/40 +8.42% 6 - 6
Developed World ex-US 80/20 +8.38% 6 - 6
Developed World ex-US Stocks +8.35% 6 - 6
Sheltered Sam 30/70 Bill Bernstein +8.08% 7 - 5
All Country World Bonds +7.71% 10 - 2
Edge Select Conservative Merrill Lynch +7.47% 8 - 4
Dimensional Retirement Income Fund DFA +6.92% 10 - 2
Sheltered Sam 20/80 Bill Bernstein +6.66% 8 - 4
Robo Advisor 20 Betterment +6.55% 7 - 5
Conservative Income Charles Schwab +6.25% 9 - 3
Total Bond US +6.20% 8 - 4
US Inflation Protection +6.14% 7 - 5
European Stocks +6.05% 5 - 7
Sheltered Sam 10/90 Bill Bernstein +5.24% 9 - 3
Robo Advisor 10 Betterment +4.56% 10 - 2
Sheltered Sam 0/100 Bill Bernstein +3.82% 8 - 4
Robo Advisor 0 Betterment +2.60% 9 - 3
Short Term Treasury +2.28% 9 - 3
US Cash -0.04% 8 - 4

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 ▾ Months
Pos - Neg
PALL
Palladium +97.16% 10 - 2
SLV
Silver +82.47% 9 - 3
EPU
Peru +57.71% 9 - 3
THD
Thailand +56.72% 8 - 4
GXG
Colombia +51.69% 10 - 2
ECH
Chile +46.62% 10 - 2
EWM
Malaysia +38.99% 9 - 3
EZA
South Africa +36.94% 6 - 6
EWD
Sweden +35.89% 8 - 4
CPER
Copper +33.42% 8 - 4
IJK
US Mid Cap Growth +30.43% 8 - 4
EWY
South Korea +29.55% 8 - 4
GLD
Gold +29.27% 9 - 3
XLRE
Real Estate +28.37% 7 - 5
VNQ
US REITs +28.37% 7 - 5
IJT
US Small Cap Growth +28.24% 8 - 4
EWW
Mexico +27.92% 7 - 5
XLI
Industrials +27.82% 8 - 4
XLY
Consumer Discretionary +27.46% 8 - 4
IJH
US Mid Cap Blend +26.72% 8 - 4
IJR
US Small Cap Blend +26.60% 8 - 4
TUR
Turkey +25.59% 6 - 6
IJS
US Small Cap Value +24.69% 8 - 4
EWS
Singapore +24.58% 8 - 4
EWH
Hong Kong +24.11% 9 - 3
EWT
Taiwan +22.76% 7 - 5
XLE
Energy +21.78% 8 - 4
VOE
US Mid Cap Value +21.76% 8 - 4
BNO
Brent Oil +21.58% 9 - 3
XLB
Materials +20.55% 8 - 4
PPLT
Platinum +20.48% 8 - 4
QQQ
US Technology +20.14% 7 - 5
EWC
Canada +19.78% 8 - 4
XLC
Communication Services +19.53% 7 - 5
FLLA
Latin America +18.68% 6 - 6
EMIF
Emerging Markets Infrastructure +18.66% 7 - 5
VTI
US Total Stock Market +17.42% 8 - 4
VUG
US Large Cap Growth +17.21% 8 - 4
EEM
Emerging Markets +16.51% 6 - 6
EWO
Austria +15.74% 6 - 6
VPL
Pacific +15.58% 7 - 5
EIS
Israel +15.31% 7 - 5
EWA
Australia +15.30% 6 - 6
SPY
US Large Cap Blend +15.06% 8 - 4
CGW
Global Water +15.04% 7 - 5
VTV
US Large Cap Value +14.54% 7 - 5
EWL
Switzerland +14.44% 8 - 4
PFF
US Preferred Stocks +13.81% 10 - 2
XLP
Consumer Staples +13.78% 6 - 6
EWJ
Japan +13.59% 8 - 4
VT
World All Countries +13.08% 6 - 6
XLF
Financials +11.90% 7 - 5
DBC
Commodities +11.90% 6 - 6
HYG
US High Yield Bonds +11.89% 8 - 4
XLK
Information Technology +11.39% 7 - 5
EMB
Emerg. Market Bonds +10.83% 9 - 3
EWU
United Kingdom +10.18% 5 - 7
LQD
US Invest. Grade Bonds +9.33% 8 - 4
TLT
US Long Term Treasuries +9.05% 5 - 7
BNDX
International Bonds +8.53% 10 - 2
EWG
Germany +8.22% 5 - 7
EFA
EAFE Stocks +8.15% 6 - 6
EWZ
Brazil +7.74% 6 - 6
IGF
Global Infrastructure +6.96% 6 - 6
BND
US Total Bond Market +6.20% 8 - 4
TIP
US TIPS +6.14% 7 - 5
VGK
Europe +6.05% 5 - 7
XLU
Utilities +5.30% 7 - 5
EWK
Belgium +5.00% 5 - 7
EWN
Netherlands +4.85% 5 - 7
VNM
Vietnam +4.05% 9 - 3
FXI
China +3.50% 6 - 6
XLV
Healthcare +3.30% 7 - 5
BIL
US Cash -0.04% 8 - 4
USO
WTI Crude Oil -0.71% 8 - 4
EWQ
France -2.55% 5 - 7
EWI
Italy -14.22% 5 - 7
EWP
Spain -18.87% 5 - 7
ICLN
Global Clean Energy -27.49% 4 - 8
UNG
Natural Gas -40.58% 4 - 8
Legend: Stocks Fixed Income Commodities