Meb Faber Ivy Portfolio (ETF Investing Endowment)

8 months ago
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Meb Faber Ivy Portfolio (ETF Investing Endowment)

This YouTube video explores the concept of the Ivy Portfolio, as popularized by Meb Faber and Eric W. Richardson in their 2009 book "Ivy Portfolio." The Ivy Portfolio is an investment strategy inspired by the endowments of Ivy League universities, known for consistently outperforming the market. The core of this strategy involves a diversified mix of assets, including approximately 60% in stocks, 20% in intermediate bonds, and the remainder in commodities.

The video delves into the historical performance of this diversified portfolio, which has shown an inflation-adjusted return of over 4% with lower volatility compared to the S&P 500. While it may not deliver astronomical returns, it is designed to grow steadily over time.

The video also provides insights on setting up an Ivy Portfolio by selecting five ETFs with equal allocations, designed to closely mimic the Ivy Portfolio's returns. The performance of this simulated Ivy Portfolio is backtested from 2008, with an annual return of 4.6%. However, it's noted that this performance is somewhat impacted by the performance of commodities, which didn't fare well during this period. Additionally, the video touches on the portfolio's resilience, with the exception of a significant drop during the 2008 financial crisis.

Ultimately, the video offers viewers a glimpse into a passive investment strategy that seeks to replicate the successful performance of Ivy League endowments over time, emphasizing the benefits of diversification and a long-term investment approach.

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✅ RISK DISCLAIMER
Quantified Strategies (SIA Lofjord) is not an investment advisor. The content and information provided are educational and should not be treated as financial advisory services or investment advice. Trading and investment in securities involve substantial risk of loss and is not recommended for anyone who is not a trained trader or investor – it shall be conducted at your own risk. It is recommended that you never risk more than you are willing to lose. Leverage can lead to substantial losses. Any use of leverage, margin, or shorting is at your discretion. Quantified Strategies (SIA Lofjord) is not responsible for any losses that occur as a result of its content and information.
Hypothetical or simulated performance results have certain limitations. Unlike an actual performance record, simulated results do not represent actual trading. Also, Since the trades have not been executed, the results may have under or overcompensated for the impact, if any, of certain market factors, such as lack of liquidity. Simulated trading programs, in general, are also subject to the fact that they are designed with the benefit of hindsight. No representations are made that any account will or is likely to achieve profit or losses similar to those shown.

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