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Re: [TSP_Strategy] C Fund Sector Performance

 

Sarah,
do you know if the TSP funds, S or C are in any way invested in this fund, Enervest.
I find it extremely disturbing as it is to me the fortelling of the collapse of the oil, gas, coal, energy sectors and areas and I see this as the beginning of cascading failures in the near future.
Please reassure me, or warn me. There was a lot of retirement monies with those guys



From: "sarah_oz@yahoo.com [TSP_Strategy]" <TSP_Strategy@yahoogroups.com>
To: TSP_Strategy@yahoogroups.com
Sent: Friday, July 14, 2017 1:19 PM
Subject: [TSP_Strategy] C Fund Sector Performance

 

S&P 500 Index Sector Performance (as of 06/30/17)

Chart of the Week for July 14, 2017 - July 20, 2017

Eight of the 11 S&P 500 Index sectors rose in the twelve month period ended June 30, 2017, compared to seven of the 11 sectors rising in the twelve month period ended June 30, 2016.
Similar to the stock market as a whole, returns for individual sectors of the stock market experience fluctuations. For example, a sector may outperform other sectors for a period of time and then underperform in subsequent periods. The chart above compares the performance of the Standard & Poor's 500 Index ("S&P 500"), including dividends, to its 11 underlying sectors for the twelve month periods ended June 30, 2017 ("current" period) and June 30, 2016 ("prior" period). The S&P 500 is an index consisting of 500 companies representing larger capitalization stocks traded in the U.S. and is a benchmark commonly used to measure the performance of the U.S. stock market.
The S&P 500 gained 17.90% for the current period. Eight of the 11 sectors posted positive returns, with six of those eight sectors posting double digit positive returns. In comparison, the S&P 500 gained 3.99% for the prior period, and seven of the 11 sectors posted positive returns.
The four sectors that outperformed the S&P 500 in the current period were lead by Financials (35.37%), Information Technology (33.89%), Industrials (22.27%), and Materials (18.59%). The sectors that underperformed the S&P 500 and still produced positive returns were Consumer Discretionary (16.9%), Healthcare (12.47%), Consumer Staples (3.06%), and Utilities (2.47%). Real Estate (-0.42%), Energy (-4.14%),and Telecom Services (-11.71%) were the only sectors with negative returns in the current period. The results of the U. S. Presidential Election in November 2016 brought hope for policy and tax changes and positive economic indicators have bolstered many sectors returns over the last year.
Market and sector returns fluctuate from year to year depending upon a variety of factors, which are very difficult to forecast. Therefore, it is important to understand the principles of investing before establishing an investment strategy to help ensure that it is consistent with your personal goals, risk tolerance, and time horizon.



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Posted by: robert winfield <winfield100@yahoo.com>
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Neither the TSP Strategy group, nor individual members, are licensed or authorized to provide investment advice. Any statements made herein merely reflect the personal opinions of the individual group member. Please make your own investment decisions based upon your personal circumstances.

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