I'm new here first time posting. I've actually changed all my allocations to lifecycle and g funds with About 10 % in s and I. I was holding at nearly equal parts c s and I.
Christopher
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Sent from my iPhone
On Jan 27, 2016, at 3:41 PM, JM Bud jmbud2@gmail.com [TSP_Strategy] <TSP_Strategy@yahoogroups.com> wrote:
FWIW - I'm still purchasing 50% C and 50% S. The farther they fall the more shares my bi-weekly contribution buys. But, I'm not holding any S Fund in my portfolio at this time.I moved my last 15% of S into G on last Friday's small bounce (when DWCPF above 900). I hesitated too long getting out when dropped below 925 on the way down. My current allocation is now 60% in G, 15% in F and 25% in C.If we do get the sizable bounce Sarah is watching for, I'll move my last 25% of C into G or F and wait it out with others in this group, but continue to buy C and S.JimOn Wed, Jan 27, 2016 at 2:48 PM, pickin6string@yahoo.com [TSP_Strategy] <TSP_Strategy@yahoogroups.com> wrote:Curious, I'm still purchasing S with my bi-weekly allocation. What are others doing at this point? I feel like I've read that it might be wiser to purchase C.
Thanks!
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Posted by: Christopher <christophernin@ymail.com>
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