TSP Market Summary: Week of January 29, 2015

By Roy Weisert, PhD, CFP

Key Takeaways

  • S&P 500 performance weakness driving defensive positioning in C Fund
  • International markets remain unattractive, keeping I Fund allocation minimal
  • Final trading opportunity for January requires action before noon January 30th

We still have one trade remaining in the month so we'll take advantage of it by decreasing our exposure to the C stock fund since the S&P 500 has had a rough time of it here lately. Also, we'll remain on the sidelines with the international fund. Please remember to reallocate prior to noon on 30 January.

Recommended Allocation (Moderate Profile)

This is our historical recommendation from this date. For current recommendations, subscribe.

G FundF FundC FundS FundI Fund
17% 40% 13% 30% 0%