Sutton & Associates
Welcome to Sutton & Associates, LLC - The Centsible Investor

     

     The purpose of this monthly newsletter is to provide insight on the economy and financial markets backed by extensive research and analysis for subscribers as well as our advisory Clients. We are also constructing a model portfolio of income-producing securities to defend against what we believe to be an extended period of rising consumer prices. Our model portoflio is up .94% in the first six months of existence while the major US stock indices are mired in bear markets (>20% loss) during the same time period. Although the newsletter is not exclusively a market timing service, subscribers have benefitted by having advance analysis of:

 

-The February bottom in US Markets

-The May intermediate-term top (markets lost 20% from this top)

-The short-term bottom in silver prices in May

-The recent short-term top in 10-year bond yields

-Identification of the $110 support/resistance level in WTIC oil

- A Model Portfolio that has beaten global indexes by 20% since inception

 

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Performance of the major stock indexes since the inception of The Centsible Investor

Index
Symbol
11/1/2007
Recent Level
Gain(Loss)
DOW Jones Industrial Average
DJIA
13,924.16
10,977.68
(21.16%)
NASDAQ
NDX
2,835.00
2,203.25
(22.28%)
Standard & Poors 500
SPY
1,545.79
1,225.35
(20.73%)
DOW Jones Wilshire 5000
DWC
15,672.80
12,470.56
(20.43%)

**Data as of 07/11/2008 - Gains/Losses on Tracking Portfolio include dividends

Major Indices as of 11/1/2007 - the inaugural month of The Centsible Investor**

Data source: Google Finance. All data is believed to be accurate, but is not guaranteed. This data cannot, in and of itself, be used to determine which securities to buy or sell, or when to buy or sell securities, or assist persons in making those decisions. The above are recommendations based on market and macroeconomic conditions and may or may not depict any individual holdings as suitability and risk tolerances vary. This 'model portfolio' was built throughout the course of 2007. Past performance is for reference only and is no guarantee of future performance. All investments have risk and can decrease in value resulting in economic losses. Returns shown above do not reflect the deduction of any fees or commissions. S&P 500 Index, NASDAQ Composite Index, Dow Jones Industrials, and the Willshire 5000 Index are not model portfolios and are only shown here as benchmarks do not take into account advisory fees or commissions.

 

Portfolio returns on the above are calculated using the following formula:

Recent Price - Purchase Price = Capital Gain

Capital Gain + Dividends = Total Gain

(Total Gain / Purchase Price)*100 = Total Gain as a percentage of the Purchase Price

 

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