Geopolitical events may shake the market this summer.
The market in the spring and summer may be bumpy.
My portfolio felt the broader declines in consumer stocks.
Three executives making things happen for shareholders.
Fed monetary policy will be a critical issue for investors next year.
Government shutdown drama took a toll on the portfolio.
The government shutdown, debt ceiling drama and weak economy were a challenge.
Bonds are at biggest risk from higher interest rates, not stocks.
Few earnings reports moved my portfolio’s holdings last month.
Asset sales should boost BP’s operating profits next year.
Here’s a performance breakdown of the model’s major holdings.