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Annual Returns: Bull Market S&P 500 Index Fund Williams' Sector Strength Strategy Widely Held Stock Theory 1995 37.6% 45.9% 46.5% 1996 23.0% 41.7% 15.1% 1997 33.5% 59.1% 33.5% 1998 28.6% 45.7% 37.2% 1999 21.0% 81.0% 11.4% Bear Market S&P 500 Index Fund Williams' Sector Strength Strategy Widely Held Stock Theory 2000 -9.2% 50.5% 13.2% 2001 -13.0% -2.3% 60.3% 2002 -22.2% 64.3% 53.8% 2008 -37.0% -26.1% -16.9% 2009 Annual Return S&P 500 Index Fund Williams' Sector Strength Strategy Widely Held Stock Theory 26.5% 49.8% 16.6% 15 year Annual Return (as of 12/31/09) S&P 500 Index Fund Williams' Sector Strength Strategy Widely Held Stock Theory 11.7% 35.8% 32.8% If you want your Roth IRA, IRA or individual accounts to have these returns and you can spend 1hour/month (maximum) evaluating your investments, click on the "subscription tab" for a no obligation free complementary newsletter. Please put "complimentary" on the referrals name line (one complimentary copy/household) |
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